MANAGE RISK
Data that delivers transparent insight when nothing else seems clear.
Data for the new era of turbulence
Volatility, in all its forms, is here to stay. Our post-pandemic world is spinning towards a global recession, triggered by soaring inflation on everything from food to fuel, rising interest rates, countries on the brink of economic collapse, conflict on European soil, and more.
Risk managers therefore have their work cut out for them, trying to navigate hurdles like asset valuation and how to manage risk more intelligently to not only avoid getting burned but to also find P&L-boosting opportunities.
Today, risk managers are seeking out more granular, transparent data on bonds and bond sector curves, as well as sophisticated tools like credit index options, research signals and volatility products, to hedge tail risk and manage risk optimally. It pays to have the best data and analytical tools in town.