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BondEdge Cash Flow Analyst for Insurance

BondEdge Cash Flow Analyst for Insurance is a new package of product capabilities designed to assist insurance cash flow analysts, including investment actuaries, with generating scenario driven dynamic asset cash flow projections and analytical risk reporting for asset-liability management of insurance asset portfolios.

For many years, analysts within the insurance industry have leveraged the robust analytical and asset modeling tools and comprehensive security database coverage of Interactive Data’s market-leading BondEdge service for fixed income portfolio and security risk analysis, dynamic asset cash flow analysis, and regulatory and rating agency-based reporting.

This new offering further expands BondEdge for the insurance market, combining customizable portfolio risk and dynamic cash flow projections and presentation style graphics with automated, flexible reporting capabilities. It can also assist in meeting regulatory and ratings agency-based requirements, such as New York State Regulation 126, the AM Best Supplemental Rating Questionnaire, and Standard & Poor’s U.S.-based insurance risk-based capital (RBC) model.

BondEdge Cash Flow Analyst for Insurance is available via the BondEdge Next Generation platform, which is built on the Microsoft.NET Framework and provides a highly intuitive, flexible user interface. BondEdge Next Generation includes an extensive structured finance deal library, cash flow engine, and term structure and prepayment models, enabling clients to generate dynamic risk measures and asset cash flows for agency and non-agency residential mortgage-backed securities, including sub-prime issues, as well as asset-backed and commercial mortgage-backed securities.

Key Benefits

  • Extensive security coverage, including structured finance library
  • Robust analytical and cash flow models
  • Comprehensive set of security and portfolio option-adjusted risk measures
  • Flexible portfolio reporting, graphics, and scans/alerts
  • Dynamic cash flow analysis for asset-liability management and regulatory/rating agency reporting
  • Dynamic asset cash flow reporting
  • Stress testing tools
  • Portfolio "what-if" analytics for pre-trade analysis
  • Credit loss modeling for structured securities
  • BondEdge API
  • Third-party system integration

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