Manage Investment Risk
and Regulatory Requirements

Empowers risk specialists, fund managers and asset allocation professionals with an advanced financial risk management solution that supports stress testing, risk analysis and portfolio construction for active strategies, ETFs and alternative investments.

Algorithmics Market Risk for Asset Management

Best-in-class market risk solutions trusted by clients around the world. SS&C Algorithmics delivers speed and superior usability on-prem, on Cloud, and as a managed service.

  • Advanced analytics for complex security pricing, broad scenario generation needs and flexible portfolio investigation.
  • Modeling for financial instruments across a broad range of asset classes, including complex and alternative securities.
  • Scalable platform for portfolio construction (what-if, optimization) across financial instruments and asset classes.
  • Consistent framework to go beyond market risk analysis, with integrated market and credit simulation outputs.
  • Dynamic analysis of market liquidity risks across listed assets through an easy-to-deploy managed service.

Award-Winning Solutions

Featured Resources

Learn more about how SS&C can help you stay ahead of the competition.

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Brochure
Algo Risk Service for Asset Management
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White Paper
Generation of Extreme but Plausible Stress Scenarios
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Brochure
Algorithmics Portfolio Credit Module
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