By: Markit  09-12-2011
Keywords: Risk Management, financial institutions

By integrating our highly advanced components, we provide you with solutions that empower you to stay ahead of the market and ahead of your competition.

To build each solution we use the technologically advanced QuIC Component Suite. Because every solution that we implement has been designed to best suit your specific requirements, we provide an exceptional level of flexibility and speed.

At the heart of each solution is the QuIC Engine™. Its vectorised design is so advanced that it is consistently unmatched for speed and accuracy in any Proof of Concept performed with our clients. By processing vast amounts of complex data using fast, reliable calculations and simulations, our solutions change the game of risk management for the world's leading financial institutions.

Keywords: financial institutions, Risk Management

Other products and services from Markit


IRC Solution

We also take pride in our clients, particularly since the world’s leading financial institutions trust us to facilitate their risk management needs each and every day. As regulatory guidelines evolve over the coming years, risk management professionals need to be able to modify their IRC models quickly and constantly.


Pricing And Valuation Solution

QuIC’s Pricing and Valuation Solution has the speed, ease of use and flexibility to deliver accurate pricing and hedging calculations in far less time than the industry standard. Designed and implemented to satisfy your specific requirements, our solutions provide the ability and confidence to move ahead of the competition.


Market Risk Solution

Accuracy is never sacrificed for computational speed: the QuIC Engine™ can run market VaR and credit PFE calculations on large global portfolios of complex instruments in a fraction of the time required by competitive risk-management systems.


CVA Portfolio Management Solution

Professionals involved in trading and risk management can easily run a full range of simulation and pricing models to capture either market-implied or historical parameters. This solution has been designed to deliver flexible, near real-time pricing, expected future exposure and incremental expected future exposure of large complex portfolios.


QuIC Services

That’s why we offer a range of services designed to provide you with comprehensive support, when and where you need it. It extends to our internal and external model validation, offering you across-the-board confidence in your new system. It continues with our flexible training programmes to suit all levels of technical ability. We want our solutions to provide you with the maximum benefit. Our commitment to you extends beyond our technology.


Counterparty Credit Risk Solution

That’s because our solutions cover the full range of credit risk requirements, ranging from pre-deal and post-deal credit oversight and regulatory capital to dynamic counterparty credit exposure hedging and Economic Capital. This allows QuIC clients to remove the need for conservative risk estimations and has improved the alignment of their front office and credit risk departments.


Economic Capital Solution

The 2008 credit crisis highlighted the fact that many financial institutions were ill equipped to measure the true value of their portfolio across all asset classes. Fortunately QuIC’s Economic Capital Solution enables you to better capture extreme stress events by cutting down the time it takes to run sufficient simulations.