Protecting fund-level investment returns from market volatility
Flexible market risk management solutions for alternative investment managers
Derivative Path enables fund managers to consolidate interest rate and FX hedging strategies across the entire organization. Our tools support everything from hedge execution to holistic risk monitoring and reporting, with tailored workflows and expert advisory at every step.
Fund and investor-level reporting
Tailored fund-level hedging workflows
Execution support across strategies
Advisory on policy and governance
Audit and compliance alignment
Built for fund CFOs, capital markets, and investing teams
Dynamic, data-driven risk management
"We were impressed with the functionality of the software, including the artificial intelligence-enabled automation of various operational tasks."
Risk Management Advisory Firm of the Year
Best Cloud-Based Application Provider
Derivatives Technology Provider of the Year
Trusted by over 300 institutions
Explore more from Derivative Path
February 9, 2026
Hedging Strategies in Action: Q4 2025
February 5, 2026
Swap Rates Rundown: January 2026 Highlights
January 9, 2026
Swap Rates Rundown: December 2025 Highlights
Let’s have a conversation
Schedule a personalized demo to see how our solutions can transform your risk management and operational workflows. Our experts are ready to discuss your specific needs.