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Investing in financial products involves taking risk. Your investments may increase or decrease in value, and losses may exceed the value of your original investment.
The Risk NavigatorSM is a real-time market-risk management platform that provides a comprehensive measure of risk exposure across multiple asset classes around the globe.
Its easy-to-read spreadsheet-like interface lets you quickly identify exposure to risk starting at the portfolio level, with drill-down access into successively deeper levels of detail within multiple report views.
The Risk Navigator offers traders the following benefits:
View your entire risk in a single number while monitoring the total risk and direction of risk associated with a single position.
View your portfolio risk for multiple asset classes and assess specific risk slices of your portfolio, such as risk by position, risk by underlying, and risk by industry.
Create an editable, hypothetical "What-If" portfolio based on your actual portfolio to see how your risk profile might change based on changes, such as adding, closing, reducing or increasing positions.
Create complex custom scenarios by editing the price, date and volatility variables that affect your risk profile.
Equity Portfolio Managers can use the Risk Navigator's advanced beta analysis to build their portfolios based on key concepts of the Capital Asset Pricing Model.
Build, maintain and monitor positions in a separate area by building new portfolios.
See how capital is being allocated on a day-to-day or even minute-to-minute basis.
Use the Portfolio Relative P&L graph to see how the total value of your portfolio for a specific asset class (or a subset of your portfolio) will change based on a percent change in the price(s) of the underlying(s).
Any symbols displayed are for illustrative purposes only and do not portray a recommendation.