Atoti Market Risk
Atoti Market Risk management software provides financial institutions with a powerful solution to manage and accelerate their enterprise market risk projects. Atoti Market Risk is a cost-effective, scalable solution that supports dynamic KPI and limit definitions, ensuring compliance and optimizing returns. It is designed to handle the complexities of enterprise-wide market risk management, offering a seamless and efficient way to manage market risk across different jurisdictions and legal entities.

Key features and benefits
Consolidate and Aggregate Data
Seamlessly integrates data from existing risk engines, valuation engines, and transaction processing systems, enabling real-time, on-the-fly aggregation and analysis of large datasets for enterprise markets.
Perform Advanced Risk Calculations
Supports calculations for VaR, SVaR, Component Incremental VaR, and Expected Shortfall, providing comprehensive risk assessment capabilities.
Interactive and Customizable Dashboards
Offers predefined dashboards for immediate use and allows for customization to meet specific needs, facilitating detailed and interactive risk analysis.
Drill-Down and Slice and-Dice Analysis
Enables in-depth examination of risk sensitivities and P&L changes, helping analysts identify and understand the impact of market movements and other variables.
Real-Time Monitoring and Alerts
Provides real-time updates and alerts, ensuring timely and informed decision-making by market risk managers.
What-If Scenarios
Allows users to simulate various scenarios and assess their impact on market risk and performance, enhancing the ability to make proactive and strategic decisions.
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