Risk-neutral valuation techniques are the standard practice in the financial industry to determine the market value of financial options. Ortec Finance provides risk-neutral scenarios for accurate, fast and robust valuations of profit sharing and return guarantees in insurance products. Ortec Finance unburdens insurance companies by delivering calibrated risk-neutral scenarios with a state of the art risk-neutral Economic Scenario Generator (ESG), expert support and required documentation.
For more information download our Risk-Neutral Scenarios leaflet by filling out the form
Related Insights
-
23 July 2024In-House Student Day: Thursday September 19, 2024 - Rotterdam
Calling all students! Join us for an unforgettable day of insights and inspiration at our exclusive In-House Student Day.
Asset Management / Banks Retail and Private / Housing Associations / Independent Financial Advisors / Insurance Companies / Pension Funds / Sovereign Wealth Funds / Wealth Management / Asset Allocation / Asset Liability Management / Climate ESG Solutions / Economic Scenario Generator / Goals-Based Planning / Goals-Based Investing / Performance Measurement and Attribution / Real Estate Financial Planning / Strategic Risk Management