Broadridge Risk Master
Broadridge Risk Master streamlines regulatory reporting and risk management for mutual funds and ETF providers. This cloud-based solution allows users to conduct historic... Broadridge Risk Master streamlines regulatory reporting and risk management for mutual funds and ETF providers. This cloud-based solution allows users to conduct historical scenario analyses, calculate Value at Risk (VaR), and apply stress factors, effectively managing market and credit exposure across diverse asset classes and investment strategies.
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Company Information
- Company: Broadridge
- Country: United States
Top Broadridge Risk Master Features
- Cloud-based risk management
- Integrated order management system
- Historical scenario analysis capabilities
- Value at Risk (VaR) calculations
- Portfolio stress factor application
- Comprehensive risk reporting
- Market exposure control
- Credit exposure control
- Multi-asset class support
- Regulatory reporting simplification
- Data-driven insights
- Collaboration with portfolio management systems
- User-friendly interface
- Real-time risk analysis
- Customizable risk metrics
- Advanced analytics tools
- Risk exposure consolidation
- Supports mutual funds and ETFs
- Global financial market insights
- Expert support services