White Paper – Enterprise Market & Risk Data Management Solutions for Treasury and Capital Markets

From a data management perspective, market data is one of the most complex data domains to manage. Without timely access, and reliable market data, mission-critical bank capabilities such as valuation and risk management cannot be executed appropriately, and risk-taking decisions cannot be made.

This white paper introduces some primary use cases served by the market & risk data management functions at a typical investment bank and some key underlying requirements. One of the critical viewpoints we advocate for is that the instruments reference, market, and risk data domains should all be managed from one single, centralized data management platform to fully realize technical, operational, business, and regulatory benefits.

Find out more on how NeoXam’s data management solution provides market participants with such a centralized platform, spanning all key data domains including master, reference, investment, ESG, market, and risk data.

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