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Risk control

  • Topiary Finance measures the risks of each fund and evaluates the correlation with the other funds in the portfolio.
  • Topiary Finance measures the global risk of client portfolios (stress scenarii).
  • Topiary Finance checks all trades on a continuous basis and controls client monthly statements within its monthly compliance report.
  • Topiary Finance also performs a quarterly and and annual check internally. An external compliance check is also performed on a quarterly basis.