Solutions

Confidence, accuracy and transparency continue to be the most critical factors required for a stable financial market – and more so in the derivatives market than any other.

Organisations on both the buy and sell-side can achieve this stability by equipping themselves with tools that make management of risk not just an isolated activity, but an essential component of any business decision.

The SuperDerivatives solution

SuperDerivatives (SD) provides tools that offer independent pricing, wide asset coverage, consistent methodology, and unrivalled risk tools, enabling opportunity management, mitigation of risk and, ultimately, an increase in revenue.

SD's comprehensive solutions are tailored for all sectors: banks, corporations, fund managersfund administrators and custodians and auditors.

The solutions are designed for deployment across all departments, for use by all practitioners – including traders, sales, treasurers, risk controllers and portfolio managers - allowing them to excel in their derivatives management.

SD’s customisable, easily-integrated and multi-asset tools enhance the entire workflow, enabling and improving front office productivity, risk and position management, independent portfolio revaluation and compliance.