RiskMonitor® named ‘Best Risk Measurement Reporting Solution’ in 2016 Offshore Excellence Awards

RiskMonitor® – Clarus Risk’s core financial risk solution – has been named the Best Risk Measurement Reporting Solution in the 2016 Offshore Excellence Awards, organised by Acquisition International magazine. Clarus Risk provides financial technology solutions primarily to investment funds, family offices, trust companies and other financial institutions. The company’s core solution, RiskMonitor®, has been developed […]

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Clarus Risk to feature at the Evolution of Alternative Asset Management Series

Clarus Risk will feature at the IFI Global Evolution of Alternative Asset Management Series in Guernsey on April 26th. Max Hilton will be a panellist, discussing risk supervision for fund boards. For more information or to attend please email Tamara Sims at IFI Global or contact us.

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RiskMonitor® provides comprehensive performance and risk attribution

Leveraging a Multi-Asset Risk model and a library of several hundred market indices, RiskMonitor® now provides comprehensive performance attribution in addition to risk attribution for long-only as well as multi-asset funds and portfolios. For more information or a demo please contact us.  

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Growing importance of risk management for fund boards

To provide both background and context on the growing importance of risk management for fund boards The NED invited Max Hilton to outline the issues confronting directors. For a copy of the article please use this link.

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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

Offshore Excellence 2016 Winners Logo Template

RiskMonitor® named ‘Best Risk Measurement Reporting Solution’ in 2016 Offshore Excellence Awards

RiskMonitor® – Clarus Risk’s core financial risk solution – has been named the Best Risk Measurement Reporting Solution in the 2016 Offshore Excellence Awards, organised by Acquisition International magazine. Clarus Risk provides financial technology solutions primarily to investment funds, family offices, trust companies and other financial institutions. The company’s core solution, RiskMonitor®, has been developed […]

Read More
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Clarus Risk to feature at the Evolution of Alternative Asset Management Series

Clarus Risk will feature at the IFI Global Evolution of Alternative Asset Management Series in Guernsey on April 26th. Max Hilton will be a panellist, discussing risk supervision for fund boards. For more information or to attend please email Tamara Sims at IFI Global or contact us.

Read More
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RiskMonitor® provides comprehensive performance and risk attribution

Leveraging a Multi-Asset Risk model and a library of several hundred market indices, RiskMonitor® now provides comprehensive performance attribution in addition to risk attribution for long-only as well as multi-asset funds and portfolios. For more information or a demo please contact us.  

Read More