Fund Awards 2024

13 | Wealth & Finance Fund Awards 2024 Most Pioneering Independent Asset Management Research Hub 2024 – Italy & Innovation Excellence Award for Financial Services Algorithms Market Risk Management The sentiment of ‘there’s a right time and a right place for everything’ is one that deeply resonates with a great number of companies across the globe. However, no industry aligns itself with the notion more than the asset management market. Depending on how the landscape may shift, entities could find themselves struggling to manage risks while simultaneously pursuing growth and development. In such instances, turning to another for assistance is almost mandatory, and it is in this vein that Market Risk Management is glad to lend a helping hand. Comprised of professionals equipped with decades of collective experience, this award-winning research hub has become a key player in the market, and we explore how below. Proudly operating as an independent investment research hub whose highly qualified pool of professionals offers invaluable services to the wider market, Market Risk Management is an exemplary entity whose impact spans the vast world of asset management. Versed in the realms of operational financial analysis and consultancy, in addition to institutional and private investors, the organisation offers a dedicated avenue to traders, investors, and experts in the sector who are hoping to remain fluid in such a dynamic landscape. Leveraging the application of statistics, quantitative models, and mass psychology, its experts go above and beyond to provide advisory, research, and model construction activities that are specifically designed to present information in a clear and detailed manner. This comes as a direct result of the company’s collective experience in global financial markets and quantitative model programming. Reaching nearly 100 years, this specific operational experience has empowered Market Risk Management to embark on a journey to completely alleviate the strain placed on private investors, traders, institutional investors, financial advisors, and bank treasuries alike. Whether it’s working with external or proprietary databases – namely Excel and Python – or onboarding the benefits of artificial intelligence, the group is highly committed to utilising every asset available in order to guarantee results. And yet, where some may approach risk management through the model of market timing, Market Risk Management adopts an entirely different method. Taking the form of its distinct signal study framework, Market Risk Management’s approach sees it gathering the information provided by various market signals, and translating this information into tangible strategies. Often times, this allows the company’s experts to advise clients on when to increase or decrease their exposure, depending on the predicted relationship between risk and reward. As such, Market Risk Management has become an entity renowned for its ‘right place, right time’ approach – one that leverages only the very best tools available to analyse numbers and statistics, all for the end goal of providing invaluable knowledge and financial market awareness. In essence, Market Risk Management is determined to reshape how investors tackle the decision-making process, granting them tools that have been formulated through the careful examination of data, and the exploration of recurrences, asymmetries, and anomalies. By considering each of these factors, the organisation can confidently provide easy-touse operational models that promise to be advantageous in every aspect. Somehow, Market Risk Management has attained the perfect balance between following industry developments and maintaining a clear vision, resulting in a sustainable level of success that’s bound to benefit clients for years to come. Having developed such a strong affinity for offering the financial market exactly what it needs, Market Risk Management has certainly earned itself a position as the best of its craft. Dedicated, driven, and determined to demonstrate its expertise where possible, it’s evolved into an entity worthy of respect, and it’s for this very reason that it has garnered the attention of Wealth and Finance International. As Market Risk Management continues to adapt to technological advancements and market fluctuations, we’ll be keeping a keen eye on its progress. We look forward to seeing what the future holds. Contact: Francesco Caruso Company: Market Risk Management Web Address: https://www.marketrisk.it Mr. Caruso, Founder & CEO

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