Unparalleled insights into the convertible bond market

The most comprehensive and up-to-date repository of reference data for the convertible bond market

Our solution is designed to meet the evolving needs of the modern convertible bond market. Whether you're analyzing risk profiles, pricing new issuances, or evaluating historical performance, our platform delivers the depth, accuracy, and flexibility needed to outpace the competition.

  • Proprietary database of reference data for convertible securities

    Gain access to an industry-leading database of convertible security terms, featuring details such as averaging periods, notice periods, and dividend protections for underlying stocks. Developed in partnership with industry experts, this ever-evolving resource includes pre-market term sheets, updates, and the latest financial product terms, providing precise pricing aligned with the consensus

  • Advanced convertible bonds screening tool

    Discover investment opportunities with advanced screening tools. Effortlessly search for convertible bonds using filters that assess valuation, conversion premiums, implied volatility, and stock performance. Explore underlying stock fundamentals to find promising prospects and compare valuation metrics across securities to identify opportunities.

  • Fast, intuitive, and user-friendly

    Our web-based platform is fast, intuitive, and user-friendly. Requiring minimal IT infrastructure, it allows for rapid deployment, quick access, and seamless updates. Users can immediately take advantage of its powerful features, ensuring a smooth and efficient experience from the beginning.

  • Accurate valuations, every time

    Get accurate valuations every time, thanks to our constantly improving model that adapts to new market structures and captures every detail.

Benefits Callout

Products

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.

Learn more

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Our key difference

<h3>Applications and use cases</h3>

Whether actively trading structured finance products or analyzing pre-or post-trade data, PolyPaths boosts efficiency, performance and investment results for multiple users across the financial institution including traders, hedge fund managers, portfolio managers, risk managers and research analysts.

  • Portfolio optimization

    Enable portfolio managers to fine-tune asset allocations and strategies. Advanced risk and return metrics support balanced portfolios that maximize returns while maintaining acceptable risk thresholds. 

  • Capital and risk allocation

    Streamline the process of allocating resources across structured finance transactions. These solutions ensure capital is deployed efficiently to optimize risk-adjusted returns. 

  • Compliance and governance

    Simplify adherence to regulatory requirements with tools tailored to meet reporting and governance standards. A transparent analytical framework ensures organizations remain compliant without compromising operational efficiency. 

  • Decision support tools

    Enable precise, data-driven decisions at every stage of the transaction lifecycle, from structuring deals to managing ongoing risks. Pre-trade analysis tools offer insights into potential exposures, empowering teams to act with confidence. 

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