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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.

Standard Deviation

A measurement that is applied to the annual rate of return of an investment to determine how spread out the set of returns are from the mean over a specific time period. The more the returns deviate from the mean, the higher the volatility of the investment.

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F3 Video

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

Brochure

F3 Brochure

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