> For the complete documentation index, see [llms.txt](https://docs.satoshiterminal.io/llms.txt). Markdown versions of documentation pages are available by appending `.md` to page URLs; this page is available as [Markdown](https://docs.satoshiterminal.io/resources/features-000/risk-management/multi-asset-risk-system.md).

# Multi-Asset Risk System

**Satoshi Terminal’s Multi-Asset Risk System (MARS)** is a next-generation suite of risk management tools designed to deliver consistent, consolidated results across your crypto portfolios and broader investments.

Powered by Satoshi Terminal's innovative pricing algorithms, real-time crypto market data, and advanced analytics engine, MARS enables investors, risk managers, and compliance teams to effectively analyze portfolios, manage exposures, and prepare for market volatility.

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#### Comprehensive Features

**Multi-Asset Coverage**

MARS offers extensive asset coverage across cryptocurrencies, tokens, stablecoins, and crypto derivatives, alongside integration with traditional financial products like equities, FX, fixed income, and credit.

**Advanced Analytics**

With cross-product support and integrated calculations, MARS delivers unparalleled data accuracy, ensuring precision in pricing models and valuations.

**Flexible and Integrated System**

Access MARS directly through the Satoshi Terminal platform or programmatically via the MARS API, ensuring seamless integration into your workflows.

**24/7 Support**

MARS clients benefit from around-the-clock support, personalized account management, and direct access to expert advisors specializing in crypto markets.

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#### Tailored Risk Management Solutions

**MARS Valuations**

A reliable solution providing accurate crypto market data, robust pricing models, and in-depth analytics such as risk sensitivities (Greeks).

**MARS Front Office**

A powerful suite of tools offering alignment between risk management teams and traders, promoting consistency and transparency.

**MARS Market Risk**

A cutting-edge risk analytics and reporting platform to monitor, assess, and manage intraday and end-of-day market risks for crypto portfolios.

**MARS Credit Risk**

A comprehensive system providing consistent analytics to evaluate, monitor, and manage counterparty credit risk in DeFi and CeFi transactions.

**MARS X-Value Adjustment (XVA)**

An enterprise-scale tool to quantify and manage counterparty risk in over-the-counter (OTC) crypto derivative portfolios.

**MARS Collateral Management**

An automated hub for monitoring and optimizing collateral across both centralized exchanges and decentralized protocols.

**MARS Hedge Accounting**

A compliant solution for managing hedge accounting needs, aligned with global crypto accounting standards.
