Risk
Make better-informed decisions about your risk exposure
Market risks and regulatory requirements are ever-evolving. The key to successful risk management is having the resources and tools to adapt quickly to a changing environment.
That’s why Bloomberg offers a comprehensive risk management solution with broad asset coverage, based on our world-class pricing library and award-winning enterprise data, which contains everything you need to deliver results across your organization.
Leading data and analytics
Our products are powered by real-time data and innovative technology that enable you to monitor and manage intraday risk.
Consistent and transparent data
Our award-winning enterprise data creates consistency across your organization for optimal risk management.
Built-in regulatory intelligence
Our solutions are built with regulation in mind, enabling you to meet existing requirements and future-proof for change.
Flexible and integrated systems
Our risk management tools can integrate with any workflow to seamlessly find opportunities that match your risk appetite.
Risk management products
Multi-asset solutions that gauge your risk and turn compliance processes into a competitive edge.
Solutions for a wide range of risks
From liquidity assessments to regulatory stress-testing, our management tools can mitigate risk in all its forms.
Front office & treasury risk
Real-time solutions for streamlined and integrated risk management.
Credit risk
Extensive datasets that provide obligor and obligation-level credit analytics.
Counter-party risk
Market-leading analytics to quantify the costs of counterparty credit, funding and capital.
Market risk
Customizable analytics to help understand exposure, regulatory requirements, and potential challenges.
Collateral management
An end-to-end workflow designed to manage, process and monitor collateral across multiple asset classes.