Understanding the concept
Explore the Open Protocol
The protocol covers exposure data across major asset classes, including equities, rates, credit, convertibles, currencies, real estate, and commodities. It also addresses risk management techniques such as Value at Risk (VaR), sensitivity analyses, stress tests, and counterparty risk management processes. Managers can report information at varying levels of granularity, allowing flexibility while ensuring that investors can aggregate exposures effectively.
The Open Protocol has been adopted by some regulatory bodies for risk disclosures, and it is increasingly used by Risk Aggregation Platforms & Consultants to integrate risk reports from different funds, providing broader insights to investors.
Over time, the Open Protocol has evolved to address emerging areas of interest. In October 2021, it expanded to include modules for Environmental, Social, and Governance (ESG) risk exposure and digital assets reporting. These additions enable investors to assess their portfolios' ESG profiles and digital asset exposures more comprehensively.