Analytics Libraries
CrossAsset
CrossAsset offers the industry’s most comprehensive derivatives analytics library empowering users to structure, price and manage all OTC derivatives.
FINCAD Analytics Suite
FINCAD Analytics Suite simplifies derivatives and fixed income products pricing. Boasting over 2,000 functions and 200+ workbooks, it enables quick calculations of pricing, risk, and cash flows. Features include mark-to-market valuations, risk analysis, curve validation, and advanced fixed income evaluation.
PolyPath’s Trading & Risk Management
PolyPaths Trading & Risk Management provides a versatile software platform tailored for structured finance risk management and portfolio analysis. It supports a wide range of instruments including mortgages, loans, asset-backed structured products, mortgage servicing rights, bonds, derivatives, and credit instruments like CDS. The platform is designed for efficacy across front and mid-office, catering to diverse user needs.
Kynex Core Analytics
Kynex Core Analytics is a comprehensive solution for convertible bond analytics, offering advanced search tools, a dynamic hedge calculator, historical data, and scenario analysis. Designed for institutional investors, it helps confidently price new issues, evaluate opportunities, and optimize investment strategies with precision and efficiency.
Numerix Economic Scenario Generator
The Numerix Economic Scenario Generator (ESG) provides insurers with advanced tools for modeling, risk analysis, and regulatory compliance. With 40+ models and customizable scenarios, ESG supports regulations like Solvency II and IFRS17. It simplifies stress testing, improves decision-making, and ensures accuracy in financial modeling, helping insurers plan and innovate with confidence.
Trading and Risk Applications
Oneview for Market Risk
Oneview for Market Risk is a cloud-native platform that helps financial institutions assess, monitor, and manage market risks across asset classes. With features like pre- and post-trade analysis, scenario modeling, and VaR calculations, it provides real-time insights from individual trades to entire portfolios. Built on a scalable SaaS architecture, Oneview improves performance, reduces costs, and ensures regulatory compliance.
Oneview for Counterparty Credit Risk
Oneview for Counterparty Credit Risk is a cloud-native platform designed to help financial institutions manage and optimize counterparty credit risk exposures. Featuring real-time counterparty risk metrics and advanced analytics, it supports precise decision-making, regulatory compliance, and cost efficiency. Its scalable design empowers users with actionable insights, enabling proactive and effective counterparty risk management.
Oneview for XVA
Optimize the total cost of trading with Oneview for XVA, a powerful solution that combines advanced quantitative models with real-time technology. Oneview for XVA empowers risk managers, traders, and XVA desks to seamlessly incorporate XVAs into deal pricing, enabling smarter, faster decisions in both trading and risk management.
Oneview for Trading
Oneview for Trading offers an all-encompassing solution for structured product business, providing real-time quotes, market data management, and risk calculations in a single platform.
PolyPath’s Trading & Risk Management
PolyPaths Trading & Risk Management provides a versatile software platform tailored for fixed income risk management and portfolio analysis. It supports a wide range of instruments including mortgages, structured products, bonds, derivatives, and credit instruments like CDS. The platform is designed for efficacy across front and mid-office, catering to diverse user needs.
PolyPath’s Asset Liability Management
PolyPaths Asset Liability Management seamlessly integrates accounting and income simulation with market value economics and risk management. It revolutionizes asset and liability reporting with dual-entry accounting in simulations, bridging the gap between risk economics and accounting for improved decision-making.
Kynex Portfolio Management System
The Kynex Portfolio Management System delivers advanced tools for managing convertible securities portfolios. With features like risk analysis, stress testing, and portfolio optimization, it enhances decision-making and streamlines workflows. Integrated with Kynex Core Analytics, it provides thorough insights, customizable metrics, and precise stress testing, empowering users to optimize portfolios and align them with strategic investment goals confidently and efficiently.
Kynex Order Management System
The Kynex Order Management System (OMS) is a purpose-built solution for convertible securities trading. It offers seamless integration with analytics and portfolio tools, advanced compliance features, real-time P&L monitoring, and streamlined workflows. Catering to both buy- and sell-side participants, it simplifies trading, enhances market insights, and ensures precise execution, enabling users to confidently manage the complexities of convertible securities.
Analytics Infrastructure
NxCore Analytics Services (NAS)
NxCore Analytics Services (NAS) delivers scalable, cloud-based pricing and risk analytics for every asset class. Simplify complex calculations, integrate seamlessly, and access powerful tools for risk management, valuation, and scenario analysis.
NxCore Workspaces
NxCore Workspaces is a cloud-native capital markets development platform designed to accelerate innovation. With seamless market data access, automated testing, batch scaling, and secure deployment, it empowers teams to develop, collaborate, and scale financial applications with ease.
NxCore Python (NxCP)
NxCore Python (NxCP) is a Python-native SDK designed to streamline financial application development. With seamless integration of Numerix’s analytics libraries and flexible deployment options from customer data centers to desktops and cloud platforms, it empowers developers to innovate, customize, and scale financial applications with efficiency and precision.