SS&C Algorithmics Risk Reporting

At these times of unprecedented market volatility, financial institutions need robust analytics and insights to measure and manage the risks in their investment portfolios. Analyze risks in your portfolios across all asset classes, using the most advanced financial and quantitative models, and leveraging an extensive set of scenarios constructed by the Algorithmics research team.

These scenarios are continuously updated to reflect the potential paths in the markets as the crisis continues to unfold, allowing clients to assess forward-looking risk and potential P&L on emerging investment strategies. At SS&C Algorithmics, we can help our clients navigate these turbulent times with a robust, turn-key, scaled SaaS offering, that clients can start using within days.