Audience

Financial Risk Management platform for financial institutions

About Kamakura Risk Manager

All major branches of risk management are dependent on the same core analytics techniques. Kamakura recognized this in 1993 when we launched our company as the world’s first vendor to provide a fully integrated enterprise risk management system. Kamakura Risk Manager (KRM) completely integrates credit portfolio management, market risk management, asset and liability management, Basel II and other capital allocation technologies, transfer pricing, and performance measurement. KRM is directly applicable to operational risk, total risk, and accounting and regulatory requirements using the same analytical engine, GUI and reporting. Kamakura’s risk management vision: completely integrated risk solution based on common assumptions and methodologies

Integrations

No integrations listed.

Ratings/Reviews

Overall 0.0 / 5
ease 0.0 / 5
features 0.0 / 5
design 0.0 / 5
support 0.0 / 5

This software hasn't been reviewed yet. Be the first to provide a review:

Review this Software

Company Information

Kamakura
www.kamakuraco.com

Videos and Screen Captures

Kamakura Risk Manager Screenshot 1
Other Useful Business Software
Gemini 3 and 200+ AI Models on One Platform Icon
Gemini 3 and 200+ AI Models on One Platform

Access Google's best plus Claude, Llama, and Gemma. Fine-tune and deploy from one console.

Build generative AI apps with Vertex AI. Switch between models without switching platforms.
Start Free

Product Details

Platforms Supported
Windows
Training
Documentation
Support
Phone Support
Online

Kamakura Risk Manager Frequently Asked Questions

Q: What kinds of users and organization types does Kamakura Risk Manager work with?
Q: What languages does Kamakura Risk Manager support in their product?
Q: What kind of support options does Kamakura Risk Manager offer?
Q: What type of training does Kamakura Risk Manager provide?

Kamakura Risk Manager Product Features

Financial Risk Management

Credit Risk Management
For Hedge Funds
Market Risk Management
Portfolio Management
Stress Tests
Value At Risk Calculation
Compliance Management
Liquidity Analysis
Loan Portfolio Management
Operational Risk Management
Portfolio Modeling
Risk Analytics Benchmarks