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FIS for Cross-asset Trading and Risk (CATR)

In the drive to accelerate growth, support scale and streamline operations, financial services institutions need multi-asset-class solutions for trading and risk management that simplify complexity, reduce cost of ownership and increase insight. By seamlessly integrating our market-leading solutions for trading and risk, CATR minimizes implementation time and duplicated development effort while providing access to more risk data sets, valuation and modeling services. With scale on our side, we increase our clients’ capabilities while continuing to reduce their costs. With a strong quant team we have extensive experience in modelling OTC derivatives. We help you solve the challenges in valuing complex derivatives, including price dispute management and Initial Margin regulation. Contact us for further information on getinfo@fisglobal.com.