Comparable Bond Analysis allows exploiting the attractiveness of a bond in terms of risk, liquidity and return. The analysis is based on price comparison of more or less identical securities.

Complex risk model including market, credit and liquidity risk compares various risk factors to determine relative value of particular bond. Our models rely on purely market data. Advanced penalty function is used to identify similarities between fixed income instruments.

A full range of Life, Serious Illness, Income Protection, Pension Term, and Unit Linked Comparative Quotes plus Business Assurance reports, and Health Insurance comparisons.

Product Fact Sheets and a full Comparative study of products covering Unit Linked Bonds, With Profit Bonds, Tracker Bonds, Deposit Products, Guaranteed Bonds and Regular Savings.

Our Fund Advice section provides Fund Fact Sheets and comparative Fund Performance details based on Fund Price information from the leading supplier of information in this area.