News

09.01.2024

RV Capital Selects Bloomberg’s MARS Market Risk

Singapore based RV Capital selects Bloomberg’s MARS to Expand Risk Management and Regulatory Reporting Capabilities

RV Capital, a Singapore-based macro hedge fund, has adopted MARS Market Risk, a part of Bloomberg’s Multi-Asset Risk System (MARS) suite of solutions to expand its product coverage and risk management capabilities across asset classes and strengthen their regulatory reporting framework.

Source: https://www.bloomberg.com/company/press/rv-capital-selects-bloombergs-mars-market-risk-to-expand-risk-management-and-regulatory-reporting-capabilities/

 

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