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Use next-generation technology to better trade & manage risk

risk

A unified view of market, counterparty, liquidity and credit risk

analytics

Pricing analytics for credit, rates, fixed income, equities, FX and commodities

Trading

Booking, lifecycle management, P&L, limits, and position management and compliance

better decisions

Leading provider of risk, analytics and trading solutions

Founded in 2002, we have 200+ clients across 40 countries including 5 of the 6 largest global banks and 2 of the 3 largest asset managers, leading hedge funds, pension funds, insurers and global commodity trading firms.

Trusted by banks, asset managers, hedge funds, pension funds, insurers, brokers and corporates.

Learn how we help our clients to reach
their full potential.

Recognised for our client focus, depth of experience and technology innovation.

Founded in 2002, Quantifi helps clients leverage new technology to better trade and manage risk.

WHY QUANTIFI?

Redefining what is possible

How firms trade and manage risk is changing. Quantifi understands these market complexities and the transformative power of technology. By redefining what is possible, we are shaping a future where your innovation knows no bounds.

Let's talk!

Schedule a personalised demo today

Client Stories

Trusted by 200+ businesses

Sona Asset Management - client of Quantifi
Nomura - client of Quantifi
Agence Française de Développement - client of Quantifi
Axiom - client of Quantifi
COFCO - client of Quantifi
Helaba - client of Quantifi
NZSF - client of Quantifi
Piraeus - client of Quantifi
Selwood - client of Quantifi

in numbers

About us

%

Revenue Invested
in R&D

%

Client-Driven Enhancements

%

Profits Donated
To Charity

insights

Innovative thinking

Whitepapers

Rethinking Risk: The Role of XVA in Commodity Markets

Commodity trading firms face heightened complexity amidst volatility in today's market. Holistic credit risk management is crucial and firms have been prompted to reassess practices to navigate risks effectively.

Whitepapers

Banking on Stability: Evaluating Resilience in Market Shocks

By analysing WWR and jumps-at-default, the Fed aims to gain a deep understanding of the potential vulnerabilities within the banking system.

Whitepapers

Mastering Interest Rate Curve Construction

Banks, investment firms, and other market participants value and manage large notionals of interest rate derivatives, bonds, loans, structured products, and other cash instruments that are sensitive to changes in interest rates.

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