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Bloomberg's Multi-Asset Risk System (MARS) is a comprehensive risk-management platform that delivers consistent, consolidated risk analytics for front-office, risk, and collateral teams, powered by Bloomberg's pricing library, market data, and mortgage cash-flow engine. It provides broad asset coverage across equities, FX, fixed income, inflation, credit, mortgages, and both listed and OTC derivatives, with cross-asset calculations and integrated models. Access is via the Bloomberg Terminal or the MARS API, and Bloomberg offers around-the-clock support to help manage risk under varying market conditions.
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