Risk- & Asset Management

AAAccell innovated several superior risk- and asset management tools based on leading research from the University of Zurich, the ETH Zurich and Columbia.

Live risk- and wealth-management for portfolios of hundreds or thousands of positions

AAAccell developed a portfolio analytics, optimisation and stress-testing solution on a proprietary database that can be accessed via API and soon with a new frontend. We can accurately measure many different parameters for large portfolios daily. Currently, we cover Expected Shortfall, Volatility, and Value-at-Risk, as well as individual risk contributors, but are extending the calculations. The different statistics will help management in their strategic leadership.

  • WealthTech
  • Portfolio Optimisation
  • Risk Management
  • Asset Managers
  • Fund Managers
  • Institutional Investors
  • Portfolio Risk Analytics
  • Portfolio Optimisation
  • Indicators and Flags
  • Indexing
  • Customized Portfolio Management

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