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Credit and Market Risk

Mitigate risk across all markets and asset classes

Risk Master helps mutual funds and ETF providers control market and credit exposure across asset classes and investment strategies. Users can efficiently run historical scenario analysis, calculate VaR and apply portfolio stress factors for comprehensive risk reporting.

Consolidate your approach to risk exposure

Our cloud-based risk management system is integrated with our order management (OMS) and portfolio management (PMS) systems in a single application.

Powerful Analytics
Risk Management Reporting
24x6 Support
Cloud-Based Infrastructure
Fully-Integrated with OMS & PMS
Customizable Derivative Valuation Models
How We Can Help

Gain control of risk exposure

#1
Best Risk Management Software at the HFM European Hedge Fund Technology Awards 2016.
225+
Asset managers use Broadridge's platform.
#1
Best Risk Management Software Firm at the Hedgeweek Global Awards 2016.
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