This paper outlines the benefits accruing to buy-side practitioners on the back of generating a single analytics view of their risk and performance metrics across funds, regions and asset classes. And, while that objective might be well understood and clearly defined, actually producing a single, reliable, accurate and transparent analytics view is another story altogether. This is where technology plays a significant enabling role, underpinned by deep domain knowledge and expertise, as outlined in this paper.
More on Credit Derivatives
Browse categories
Back to Top
Back to Top