Financial Industry

 

The Financial Industry is becomming more competitive and the winner is the company managing to keep investment risk under control. Every day new algorithms are developed but validating a new approach is taking longer than ever.

We have a long history in data measurement and validation, and analyzing error propagation in complex and high-nonlinear algorithms

Innovatorium has developed an impressive set of applications for Portfolio Allocation, Risk Analysis, Independence Analysis, and Automatic Data Processing.

 
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The modern economic theories provide us various and sometimes contradicting solutions for measuring risk. These methods are based on the assumption of normal distribution which is almost never appropriate.

Do you know how to measure risk when the statistical distribution is far from normal?
 
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606 Lower State Road,
North Wales, PA 19454, USA
Tel. (267) 342-2815