![]() SPAN software is utilized by a wide range of end-users, including futures commission merchants (FCMs), investment banks, hedge funds, research organizations, risk managers, brokerage firms, and individual investors worldwide. As the industry standard for portfolio risk assessment, SPAN is the official performance bond (margin) mechanism of more than 50 registered Exchanges, clearing organizations, service bureaus, and regulatory agencies throughout the world. Although originally designed for use with derivatives, its extraordinary capabilities have led to its extensive use in assessing risk for many different types of financial instruments. ![]() Continually enhanced and elaborated, the SPAN methodology can be used to evaluate risk for the broadest possible range of derivative and physical instruments. The Standard Portfolio Analysis of Risk (SPAN) system is a sophisticated methodology that calculates performance bond requirements by analyzing the 'what-ifs' of virtually any market scenario.
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