End-to-end solution for the conception, pricing, hedging and management of structured products and derivatives
Numerix Oneview for Trading is real-time front-to-risk solution designed for the conception, hedging and lifecycle management of structured products and derivatives. This single, integrated platform empowers firms to generate tradeable quotes, manage market data, and perform real-time risk calculations with precision. Designed for seamless integration into a firm’s existing IT architecture and data sources, Numerix Oneview for Trading empowers users to gain a competitive edge by optimizing trading strategies, enhancing operational efficiency, and make swift, informed decisions in today's dynamic financial markets.
Capabilities
Powerful real-time performance
Numerix Oneview for Trading provides real-time pricing and risk insights to enhance decision-making in dynamic markets. It generates precise, tradeable real-time quotes for derivatives and structured products using sophisticated Monte Carlo pricing, Greeks, and rapid Taylor approximation. It also streams real-time data with anomaly detection, enabling confident trading and risk management decisions.
Enhanced deal flow and market share expansion
Numerix Oneview for Trading automates workflows to accelerate response times to client requests and manage higher RFQ volumes, empowering banks to capture more deal flow and expand market share. It also streamlines RFQ processes between desks, enhances structured note issuance execution with smart structuring screens, and provides comprehensive risk visibility through intuitive Position and Risk Overview screens.
Operational efficiency and risk minimization
Numerix Oneview for Trading provides intuitive trade lifecycle management to ensure precise trade data states, enhance operational efficiency, and minimize risk. It is able to manage the lifecycle of structured products through events like corporate actions, barrier breaches, option exercises, and final fixings.
Enhanced portfolio insights
Numerix Oneview features robust P&L analysis and attribution tools that track and attribute daily portfolio value fluctuations to root causes. It includes detailed analysis of trading and hedging P&L with multiple currency conversion rules, along with sensitivity-based attribution for clear insights into trading activities and risk factors.
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