Benefits to Risk Managers
With Koin-Market Investment, you have access to a thorough and timely understanding of risk. Koin-Market’s industry-leading risk models and multi-asset class analytics cover a broad universe of investment instruments – from fixed income and equities to real estate and hedge funds. Koin-Market offers you not only a comprehensive view of your positions and risks but also helps you to zero in on exposures across every single portfolio and team. And because of Koin-Market’s global footprint and strong support across asset classes, Koin-Market can support modelling for large and complex portfolios.
The Koin-Market team is responsible for running risk analyses on client portfolios and performing extensive quality control, so you can focus on the important work of analyzing and interpreting results.
Koin-Market can help you:
- Leverage Koin-Market’s “one system, one database, one process” model and the comprehensive quality control services provided by the Koin-Market team to help gain enhanced control and the reassurance that everyone is looking at the same high-quality data in real-time.
- Feel confident in the robustness of your analytics, as Koin-Market monitors 2,000+ risk factors each day – from interest rates to currencies – and performs 5,000 portfolio stress tests and 180 million option-adjusted calculations each week.
- Access hundreds of risk and exposures metrics to create customizable reports and graphics based on your specific needs and preferences.
- Rapidly test thousands of potential scenarios every day – answering questions like, “How will inflation affect me?”, “What impact will a change in oil or gas prices have?”, or “What happens if there’s a recession in Europe?” – that help you anticipate, interpret and respond as changes – big and small – happen across the world.
- Access Koin-Market’s comprehensive suite of sophisticated models, built over the past 20 years by a dedicated financial modelling team.