MRM™ APPROACH

MRM™ APPROACH

We are committed to ensuring Investor rights are protected by providing a comprehensive, independent asset risk management solution.  Our groundbreaking Master Risk Management™ solutions offer investors independent risk management of, transparency into and preservation of their fixed income investments.  Our solutions are for investors across the globe and across all fixed income asset classes.

Our Master Risk Management™ Solution is the synergistic combination of best-of-breed components.  The resulting robust platform prevents the egregious errors of the past while providing the muscle to overcome the challenges of the new order in the finance world.  MRM™ combines for the first time traditional reporting and remittance verification functions of master servicing with state-of-the-art collateral and servicer risk management solutions. The best-of-breed components are:

  • Advisory and Bond Analytics
  • Servicing Surveillance
  • Forensic Loan Reviews
  • Claim Remediation
  • Default Liquidation Reviews
  • Servicer Claims and Collections
  • Servicer Oversight

Digital Risk’s Master Risk Management™ solutions provide RMBS certificate holders the necessary enforcement of their rights. Our unique investor focused three step approach is:

Step 1: Recommend remediation strategy by deal, tranche or loan as applicable.

Step 2: Collaborate with client and its advisers on remediation strategies

Step 3: Execute (assumed tactics) Master Risk Management™ enforces RMBS certificate holders’ rights to:

  • Accurate information upon which to make investment decisions
  • Contracted servicing and default management standards
  • Execute put-backs under representations and warranties