Clarus Risk Limited (Clarus Risk) was formed following the global financial crisis to provide objective, institutional investment risk solutions to investors and fund boards.  Clients range from: fiduciaries to family offices, and fund services providers to corporates.

‘Clarus’ represents our ‘clear’ business purpose, to provide timely and actionable investment risk processes and reports utilising leading financial technology and decades of experience gained at first-class international investment firms.

We believe that in addition to evolving regulatory demands, a comprehensive and independent risk function serves investor interests.

Latest Clarus Market Data

Index Date Value MTD Market
Clarus Financial Turbulence15/09/20144.4628.11%Normal16/09/2014 06:15
Index Date Value MTD YTD Updated 
Clarus EUR Cautious15/09/2014138.920.44%4.56%16/09/2014 06:30
Clarus EUR Balanced15/09/2014142.140.62%5.77%16/09/2014 06:30
Clarus EUR Strategic15/09/2014143.950.83%7.13%16/09/2014 06:30

For complete benchmark datasets please visit the client area.

Research & News

Will we ever be able to provide comparable, net, risk-adjusted return figures?

An informal, networking discussion event to be held at The Vintry, London on July 9th. Will we ever be able to provide comparable, net, risk-adjusted return figures and would it be ethical to do so? Will it ever be possible to deliver genuine cost comparisons and, in a world in which risk measurements can be [...]

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