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Relative Value Fixed Income (RVFI): Pre-Trade Analytics

Fully integrated platform with real-time market data and security master along with industry stressed test analytics with 3-step trading workflow: (1) Monitor real-time trading sectors and identify relative value; (2) Generate trading strategies based on selected relative values; (3) Monetize favorable trades into an execution plan. 18 years of high-quality market data and derived relative value measures are integrated into all trading strategy for horizon analysis, performance analysis, and regression analysis. All weekly enhancement requests are delivered to our clients at our best effort.

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RVPortfolio: Risk Management

RVPortfolio focuses on the needs of the Risk Manager and centers around 3 key pillars: VaR, scenario analysis, and risk reporting. Dual Historical VaR approach: Full Valuation Method & Market Risk-Factor Method RVPortfolio not only generates P&L history, but also creates P&L attribution, so Risk Managers can examine the accuracy of P&L down to the …