Structured Product Solution™

QuIC offers two different Structured Product Solutions to meet the distinct needs of traders and funding staff. Both solutions integrate easily with existing systems, including proprietary and third-party systems, and operate in diverse environments, from a single laptop to large distributed grids. All QuIC solutions can be deployed within most financial institutions’ existing software or hardware infrastructures.

QuIC STRUCTURED PRODUCT SOLUTION™ for Trading
Profitable trading in structured products requires flexibility in the design of financial instruments combined with the calculation power needed to produce extremely rapid results. The QuIC Structured Product Solution for Trading is a complete set of adaptable and manageable analytical tools that puts a new level of performance in the hands of traders.

This solution delivers the speed, ease of use and flexibility to deliver accurate pricing and hedging calculations in far less time than industry norms. With this QuIC solution, traders can bring complex new structured products to market quickly, thus maximizing trading volumes and profits.

The QuIC Structured Product Solution for Trading is a complete set of financial design tools that enable the timely pricing of complex structured products and their hedges. QuIC offers trade capture, trade pricing and Greek generation in a single solution, with the additional benefit that Market Risk and Credit Risk calculations can be easily integrated.

Flexible and scalable
The QuIC Structured Product Solution for Trading can accommodate nearly any structured product trading requirement. It can be applied equally to daily pricing of a single trade, to pricing and risk metrics for thousands of deals. QuIC solution users can dynamically extend and customize their system's functionality to quickly accommodate new and complex models, instruments and analytics.

Hull-White and BGM models
Choose the model you prefer, or run both models and compare the results. QuIC is flexible enough to provide both models for improved market intelligence.

QuIC STRUCTURED PRODUCT SOLUTION™ for Funding
For professionals dealing in structured products, speed and accuracy in pricing is essential for improved regulatory compliance and for daily MTM (Mark to Market) reports for margining and collateral purposes. The QuIC Structured Product Solution for Funding is a complete set of adaptable and manageable analytical tools that put a new level of performance in the hands of funding staff.

This solution delivers the speed, ease of use and flexibility to deliver pricing calculations in far less time than industry norms. Funding staff can price more structured product trades with accurate reporting, and meet regulatory requirements allowing banks to use structured medium term note programs to provide inexpensive sources of capital.

The QuIC Structured Product Solution for Funding is a complete, integrated set of financial product design tools that enable the rapid evaluation and modelling of complex structured products.

Flexible and scalable
The QuIC Structured Product Solution for Funding can accommodate nearly any structured product analytics requirement. It can be applied equally to daily pricing of a single trade or to pricing and collateral metrics for massive trades—its calculating power allows analyses of far greater size and scope than any other vendor’s solution. Example types of structures that can be priced include interest rate, foreign exchange, equity, or commodity linked notes including PRDCs, Callable Range Accruals, Target Redemption Notes and Baskets. QuIC users can dynamically extend and customize their system's functionality to quickly accommodate new and complex models, instruments and analytics.

Rapid metrics free up collateral
The power of the QuIC solution provides a tangible, bottom-line advantage: results arrive so quickly that you can run rapid mark to market of an institution’s total structured medium term note issuance in a fraction of the time offered by competitive solutions. With collateral metrics, margining can be improved, and less capital needs to be tied up. In addition, Market and Credit Risk Metrics can be integrated with the QuIC Structured Product Solution for Funding

 

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