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FIS Investment Risk Manager

FIS’ APT™ Investment Risk Manager for asset managers and asset owners provides multi-asset class risk analytics, data services, scenario analysis and risk reporting. Model market risk and liquidity risk across both liquid and illiquid asset classes, supporting regulatory reporting, portfolio optimization and performance analysis.  Portfolio managers and risk managers can collaborate more effectively with a solution that provides a unified view of risk. Delivered as a Risk as a Service or installed, you can make better decisions with better insights into risk.

View other products from FIS

FIS Balance Sheet Manager - Liquidity Risk

FIS Balance Sheet Manager – Liquidity helps banks build up a liquidity risk management infrastructure on an operative as well as a strategic level, going beyond “minimum” regulatory requirements.

FIS Credit Assessment

FIS Credit Assessment manages all commercial credit assessment and customer risk rating – including probability of default and loss given default – with industry-specific financial spreading and analysis – in one solution.

FIS® Corporate Actions Election Portal (formerly eTRAN+)

Run this user-friendly and  time-efficient web-based election module in used in conjunction with the FIS® Corporate Actions Manager Suite (formerly XSP).  Whether your customers are professional portfolio managers or individual investors, they can use FIS® Corporate Actions Election Portal (formerly eTRAN+) to review the terms of any corporate actions that may affect their holdings and make their …