Genesis Risk Monitor Blog

Insights on portfolio risk management, market analytics, and product workflows.

Financial Advisors12 min read

5 Best Portfolio Analysis Software for Financial Advisors and RIAs in 2026

Compare five of the best portfolio analysis software platforms for financial advisors and RIAs in 2026, including Genesis Risk Monitor, Kwanti, Nitrogen, Morningstar, and YCharts.

Financial Advisors11 min read

5 Best FactSet Alternatives for Financial Advisors and RIAs in 2026

Compare five leading FactSet alternatives for financial advisors and RIAs in 2026, including Genesis Risk Monitor, Kwanti, Morningstar Direct, YCharts, and Koyfin.

Advisor Tools15 min read

Portfolio Risk Analytics for Financial Advisors: The Complete Guide

The wealth management landscape is shifting. Discover the key portfolio risk analytics financial advisors need in their workflow — from VaR and Expected Shortfall to factor exposure and stress testing — to build objective risk narratives and close more business.

Risk Management14 min read

Expected Shortfall & Tail Risk Analytics: Beyond Standard Value at Risk

Expected Shortfall (Conditional VaR) measures tail risk beyond standard Value at Risk. Compare parametric, historical, and Monte Carlo VaR methods and learn why regulators prefer Expected Shortfall for extreme market regimes.

Guides11 min read

Portfolio Risk Analytics Best Practices for Independent Investors: 5-Step Framework

Discover 5 portfolio risk analytics best practices for independent investors: forward-looking VaR (parametric, historical, Monte Carlo), Barra-style factor exposure, historical and custom stress testing, dynamic covariance monitoring, and systematic risk limits with automated alerts.