"Following rigorous evaluation, we have chosen the SD-CD platform as our calculation benchmark for credit derivatives, bringing deep analytics, broad instrument coverage, and superior functionality to our family of new CDS indices."
Standard & Poor's

Multi-Asset

SuperDerivatives’ (SD) solutions provide the industry's most extensive support for vanilla to advanced options and complex structures for all asset classes FX, interest rates, equities, commoditiesenergy and credit – across OTC and exchange markets around the world.

As a truly multi-asset solution, SD enables opportunity management, mitigation of risk and an increase in revenue across a company's entire derivatives operations. Users can see their aggregated risk across all assets and consolidate their sales efforts.

Multi-asset coverage includes:

  • FX : hundreds of currency pairs, major (G7) and emerging markets, including illiquid currency pairs
  • Interest rates : major (G7) currencies and emerging markets
  • Equities : over 3,000 single stocks and all major indices in all major global exchanges
  • Energy : oil and oil products in all major locations and refineries around the world, natural gas including all major hubs, electricity in Europe, US and Australia including OTC and all major exchanges.
  • Commodities : precious and base metals, agriculture and soft commodities in all global exchanges and markets
  • Credit : over 1500 CDS, CDS index, CDS index tranches
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EMEA
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+44 (0)20 7648 1050


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+1 212 768 7871


Global Sales
sales@sdgm.com