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MX.3 Enterprise Risk and Regulatory Suite

MX.3 Enterprise Risk and Regulatory Suite

Meet new regulations, fully integrate enterprise market risk at each point of the value chain

MX.3 for Enterprise Risk Management is a cloud-ready solution that allows banks to control market, credit, and liquidity risk for internal and regulatory compliance. It covers internal market risk; Fundamental Review of the Trading Book (FRTB); X-valuation adjustment (XVA); standardized approach for counterparty credit risk (SA-CCR); credit risk and initial margin (IM). This is complemented by a leading limits and exposure monitoring solution across multiple source systems in real time. It interacts with third-party deal capture systems and covers the range of exposures for market, credit, liquidity and operational risks across trading, banking and investment books. The solution is used by a large and diverse range of market participants to meet regulatory requirements that include Basel III, Dodd-Frank, European market infrastructure regulation (EMIR) and the Volcker Rule.

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