Position Management

SuperDerivatives (SD) offers a range of solutions that enable market participants across the buy- and sell-side to ensure they maximise risk management by having a comprehensive view of their positions, across all asset classes at all times.

Being a scalable, web-based service, SD can adapt to the level of complexity of an institution’s derivatives business and offers a choice of three levels of solutions depending on particular needs:

  • Level 1: System and risk analysis tools enabling position management for a relatively small number of trades
  • Level 2: Consolidated, on-demand valuation, Greeks, hedging reports and risk tools for companies that wish to consolidate management of single- or multi-asset derivatives books from multiple trade sources, encompassing the entire life-cycle of the trade
  • Level 3: Sophisticated monitoring tools and real-time consolidated position valuation for users that wish to have a consolidated view of books with a complex risk profile