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
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01 June 2026Ortec Finance publishes its first Sustainability reportOrtec Finance publishes its first Sustainability Report. It covers the reporting years 2024 and 2025.
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