Measure and hedge risk with a comprehensive pipeline management solution.
Pipeline Risk & Hedging
With real-time feeds of market and lock data, Optimal Blue’s pipeline risk management solution provides a comprehensive array of tools to measure and manage your risk position. Further, by leveraging the investor content native to the Optimal Blue platform and automated LOS updates, pipeline values are highly precise and updated constantly, allowing Secondary Marketing Managers to have continuous visibility into their risk position. Advanced pull-through modeling and shock analysis allow managers to regularly evaluate their exposure and identify hedging strategies. Our system supports a full range of hedging techniques, including TBA and forward sales at agency commitment windows, and our electronic trade blotter allows traders to quickly model coverage.
Mark-to-market capabilities satisfy internal auditors and regulatory authorities, and a robust management reporting suite makes oversight of the Secondary Marketing function easy.
+ Dynamic shock analysis and modeling
+ Configurable, granular pull-through strategy
+ Accurate pipeline valuations by investor relationship
+ Powered by the mortgage industry’s leading PPE
+ Powerful data verification systems scrub data at entry
+ Identify logical and eligibility errors before they become costly problems
+ Make precise decisions and maximize secondary marketing revenue
+ Accurately measure and manage your risk position