Explore Atoti solutions for trading desks
Achieve continuous, up-to-date insight into risk at the front office, at every level of aggregation. Get real-time answers to critical questions including: Which trade just put us at risk of breaching a limit? What insights can we gain from a what-if simulation that adds or subtracts a set of trades? Can we do this deal and stay within the limits? Can we do a temporal override?
Assess trade profitability without waiting for full revaluation or models. Instantly see what is driving PnL, the impact of intra-day sensitivities and run a flash PnL against the most current data. Close the gap between flash PnL and D+1 reporting.
Centralize all xVA data on a single platform and analyze the contribution of every xVA indicators to risk and PnL with much better granularity. Define and optimize your hedging strategies. Simulate the impact of a new trade on various netting sets in order to select the “cheapest” counterparty to deal with.
Forecast inventory to better forecast liquidity. Gain real-time visibility of the balance sheet data to monitor impact of trading decisions on HQLA. Fast-paced inventory management allows you to optimize collateral positioning.
Detect any case of over- or under-collateralization. Continuously monitor for eligibility breaches and anticipate the impact of new pledge strategies on the global inventory. Optimize your decisions without impacting the HQLA.