Clarus Risk Limited (Clarus Risk) was formed following the global financial crisis to provide independent, institutional risk solutions to fiduciary and investment companies.

‘Clarus’ represents our ‘clear’ business purpose to provide our clients with first-class risk reporting and personnel.

For more information please watch our short video, or Contact Us to request a free consultation, or one of the following case studies:

  • Fiduciary risk reporting
  • UCITS risk reporting
  • AIFMD independent risk function
  • Model Portfolio construction & analytics

Latest Clarus Market Data

Index Date Value MTD Market
Clarus Financial Turbulence27/07/20154.22-42.76%Normal28/07/2015 06:15
Index Date Value MTD YTD Updated 
Clarus EUR Cautious27/07/2015146.520.50%3.36%28/07/2015 06:30
Clarus EUR Balanced27/07/2015153.820.56%5.16%28/07/2015 06:30
Clarus EUR Strategic27/07/2015160.110.63%7.14%28/07/2015 06:30

For complete benchmark datasets please visit the client area.

Research & News

Risk, Governance & Compliance for Financial Institutions 2015

This ebook is a resource to help financial institutions better recognise and manage risks, governance and compliance challenges. Clarus Risk’s article ‘The Growing Role of Financial Risk Management’ features in Chapter 1. Please use this link to access the ebook or contact us to request a copy.

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