OptiFolio is the best portfolio optimization solution with modern portfolio theory for mutual funds, pension funds, private banks, insurance companies, investment advisors, business schools, individual investors
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Commercial and freeware software applications for risk management, portfolio optimization, econometric modelling, derivatives analysis and fixed income management
RISKO provides advanced software solutions for professional and institutional investors. CVX: portfolio management and risk analysis, including VaR. RISK-LAB: Monte-Carlo Simulation of any MS Excel model. OPTIFOLIO: Portfolio optimization and simulation.
Based in the City of London, Skew Vega designs and builds systems for risk management and derivatives trading for firms trading in the global energy and financial markets.
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