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The Standard Portfolio Analysis of Risk (SPAN) system is a highly sophisticated methodology that calculates performance bond requirements by analyzing the "what-ifs" of virtually any market scenario. Developed and implemented in 1988 by Chicago Mercantile Exchange (CME), SPAN was the first system ever to calculate performance bond requirements exclusively on the basis of overall portfolio risk at both clearing and customer level.
In the years since its inceptions, SPAN has become the industry standard for portfolio risk assessment. It is the official performance bond (margin) mechanism of 50 registered exchanges, clearing organizations, service bureaus and regulatory agencies throughout the world. SPAN software is utilized by a wide range of end-users, including futures commission merchants (FCMs), investment banks, hedge funds, research organizations, risk managers, brokerage firms and individual investors worldwide. Although originally designed for use with derivatives, its extraordinary capabilities have led to its extensive use in assessing risk for many different types of financial instruments.
Now in its fourth generation of functionality, SPAN has evolved into a "family" of three software products designed to meet the needs of a wide range of customers.
PC-SPAN - a single-user desktop application that offers margin calculation across multiple exchanges
SPAN Risk Manager - a single-user desktop program that includes risk analytics in addition to margin calculation
SPAN Risk Manager Clearing - an institutional-level program used by exchanges, clearing organizations, services bureaus and regulatory agencies that employs all the functionalities of PC-SPAN and SPAN Risk Manager, and also offers real-time margining, risk array calculations and production of SPAN risk parameter files.
What SPAN Does
How SPAN works
SPAN Parameters
SPAN Combined Commodity Evaluations
Software for SPAN
PC-SPAN: for SPAN margin calculations
SPAN Risk Manager: Margin calculation, plus powerful risk analytics
SPAN Risk Manager Clearing: margin calculation, risk analytics, real-time capabilities, and exchange and clearing organization processing