OUR SERVICES

Our range of services are exclusively focused on Risk Management for financial institutions. Since 2004, RiskONE’s range of services is clearly focused on six main areas:

Our main customers include international investment banks, asset managers and hedge funds. They are mostly located in London and Paris, with some extensions in New-York, Geneva and Zurich. v

Improve your risk management methodology

Turn your risk management into a competitive advantage and satisfy your investors and regulators.

Implement new systems

Our knowledge of the major risk management software guarantees you a perfect independence and best of breed services.

Develop your own systems

All our developers are specialists in risk management and are led by our quant team. Therefore, there will be no need to look elsewhere.

IMPLEMENTING ADVANCED
MARKET RISK MANAGEMENT

Whilst the management of market risk has been at the forefront of international investment banks’ thinking for many years, institutions such as hedge funds and traditional fund managers are increasingly paying more attention to developing their own risk management.

Hedge funds and asset managers’ market risk management presents challenges around valuation and risk measurement for exotic and structured products, comparison between risk and performance and compliance issues (European UCITS III/IV directive).

Our risk management expertise has been originally acquired in large investment banks and extended to tackle the specific challenges that other financial institutions are facing.

Therefore, all our solutions are tailored-made.