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Firms today recognize the importance of real-time and end-of-day risk oversight - exposure, VaR and simulated stress testing - to support informed investment decisions and increased demand for transparency and all types of reporting. Integral to Linedata’s modular asset management platform, Linedata Derivation risk solutions addresses your challenges with real-time risk, analytics, and portfolio management solutions for institutional and hedge fund managers across all asset types and structures. Our development methodology is client driven, and views are highly configurable, allowing complex analytics to be presented and reported easily. 

Discover our solution for Risk Management

Market-leading risk management tools

Real-time portfolio risk management

Ultimate Flexibility, Scalability

Expert Support

Seamless Integrations