FINCAD offers the most transparent solutions in the industry, providing extensive documentation with every product. This is complemented by an extensive library of white papers, articles and case studies.

Mean Reversion

A model that explains the tendency of a stochastic process such as interest rates or stock returns to remain at or return over a long period of time to an average value. This average value can be based on the historical average of a return or another relevant average such as growth in the economy.


F3 Video

The next generation of powerful valuation and risk solutions is here.


F3 Brochure

Portfolio valuation and risk analytics for multi-asset derivatives and fixed income.