Clarus Risk Limited (Clarus Risk) was formed following the global financial crisis to provide objective, institutional investment risk solutions to investors and fund fiduciaries.  Clients include: trust companies, family offices, fund service providers and corporates.

‘Clarus’ represents our ‘clear’ business purpose, to provide personnel and risk management support based on the provisions of timely and actionable investment risk systems and reports, utilising leading financial technology and decades of experience gained at first-class international investment firms.

For more information please watch our short video or email us at


Latest Clarus Market Data

Index Date Value MTD Market
Clarus Financial Turbulence19/12/20149.676.35%Distressed20/12/2014 06:15
Index Date Value MTD YTD Updated 
Clarus USD Cautious19/12/2014126.56-0.68%1.15%20/12/2014 06:31
Clarus USD Balanced19/12/2014129.34-0.90%1.59%20/12/2014 06:31
Clarus USD Strategic19/12/2014129.71-1.15%1.97%20/12/2014 06:31

For complete benchmark datasets please visit the client area.

Research & News

Clarus Risk signs up global alternative funds platform

Clarus Risk Limited, a leading provider of institutional investment risk solutions, is pleased to announce that Emerging Asset Management (EAM), a global business supporting small to medium-sized fund managers, will employ Clarus Risk’s RiskMonitor® solution on its Bermuda and US hedge fund platforms. EAM will use RiskMonitor® to monitor market, liquidity and investment risk of [...]

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