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Axioma Enhances Canada Equity Risk Model

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Axioma, a provider of enterprise risk management, portfolio management and regulatory reporting solutions, has added a new Canada equity risk model (AXCA4) to its next-generation Equity Factor Risk Model suite. The release builds on existing risk models, offering enhanced country-specific content to meet the risk-management needs of investors. The estimation universe for the Canada model contains over 440 stocks and ETFs, with coverage history from 1995. The enhanced data includes deep daily history and, for the first time, macro factors for residual gold and oil sensitivity.

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