Evolving Role of Risk Management

As it develops its coverage of risk management for directors, The NED invited Max Hilton of Clarus Risk to discuss the evolution of risk management over the last few years and why this has become a more important topic for fund boards.  

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Clarus Risk acquires Laven Partners’ PE risk practice

Clarus Risk, a leading institutional risk solutions firm, has entered into a strategic partnership with Laven Partners, the global consultancy and regulatory software publisher, servicing the financial services industry. The deal, completed on 5 October 2016, will see Clarus Risk acquire Laven Partners’ private equity risk measurement practice and methodologies, and become the associated risk measurement […]

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Empiric Managed Capital select Clarus Risk’s RiskMonitor solution

Clarus Risk, a leading provider of institutional investment risk solutions, is pleased to announce that Empiric Managed Capital (‘Empiric’), a systematic global long/short equities fund, has chosen to employ Clarus Risk’s RiskMonitor solution for the Empiric Managed Capital Master Fund. Empiric launched the Master Fund in November 2015, and is currently preparing to launch a […]

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Clarus Risk wins three categories at the 11th Annual ACQ5 Global Awards

Clarus Risk, a leading provider of financial risk management solutions, has been honoured with wins in three categories of the ACQ5 Global Awards for 2016: UK – Niche Fintech Company of the Year Offshore – Niche Fintech Company of the Year Offshore – Financial Risk Management Solutions Provider of the Year Clarus Risk’s Managing Director […]

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Become More Efficient

Financial risk measurement is a complex and demanding discipline which affects all financial services participants.

Partnering with Clarus not only provides assurance on effective and timely risk measurement but also efficient connectivity to counterparties and internal management and reporting systems. This frees our clients’ time so they can focus on day to day business affairs and core competencies.

Why Clarus?

Transparency

Clarus solutions are developed in MATLAB, a leading financial technology used by the top ten US commercial banks and 11 of the top 15 hedge funds. Risk methodologies and documentation are made available to all clients and Clarus research is regularly published in leading industry publications.

Support

The principals of Clarus have extensive experience gained at leading institutional asset management firms. Comprehensive support and consulting is a standard feature within client solutions.

Value For Money

Working with Clarus represents a highly cost effective alternative to buying an off-the-shelf solution or to developing in-house. Clarus solutions are modular in nature to meet specific risk requirements.

Multi-Asset Risk Model

The principals of Clarus have extensive experience gained at leading institutional asset management firms. Comprehensive support and consulting is a standard feature within client solutions.

Regulatory Compliance

Clarus solutions support a growing number of regulated entities, globally, by providing the risk metrics and data to meet regulatory risk reporting requirements, such as UCITS and the AIFMD.

Technology & Expertise

First class technology & specialist risk analysts make for a robust & efficient solution. The combination of industry experience with leading financial technology enables Clarus to provide a truly bespoke solution.

Multiple Delivery Options To Suit Your Workflow
Microsoft Excel Add-In
Data Feed Solution

Clarus Research & News

NED_ERR5

Evolving Role of Risk Management

As it develops its coverage of risk management for directors, The NED invited Max Hilton of Clarus Risk to discuss the evolution of risk management over the last few years and why this has become a more important topic for fund boards.  

Read More
CRL_LP90

Clarus Risk acquires Laven Partners’ PE risk practice

Clarus Risk, a leading institutional risk solutions firm, has entered into a strategic partnership with Laven Partners, the global consultancy and regulatory software publisher, servicing the financial services industry. The deal, completed on 5 October 2016, will see Clarus Risk acquire Laven Partners’ private equity risk measurement practice and methodologies, and become the associated risk measurement […]

Read More
trendshutter

Empiric Managed Capital select Clarus Risk’s RiskMonitor solution

Clarus Risk, a leading provider of institutional investment risk solutions, is pleased to announce that Empiric Managed Capital (‘Empiric’), a systematic global long/short equities fund, has chosen to employ Clarus Risk’s RiskMonitor solution for the Empiric Managed Capital Master Fund. Empiric launched the Master Fund in November 2015, and is currently preparing to launch a […]

Read More