Lombard Risk is a leading provider of regulatory reporting and collateral management solutions to the financial services industry. Through intelligent automation and optimisation, Lombard Risk’s clients are able to improve their approach to risk management, gaining the agility they need for competitiveadvantage. As well as bringing immediate and urgent solutions to clients' needs, Lombard Risk’s global team of experts look beyond today’s reporting and collateral management to develop technology solutions that help them adapt as industry challenges evolve.

London, GB
Size (employees)
380 (est)
Lombard Risk Management was founded in 1989 and is headquartered in London, GB
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Key People/Management at Lombard Risk Management

Alastair Brown

Alastair Brown

Chief Executive Officer
Nigel Gurney

Nigel Gurney

Chief Financial Officer
Mike Payne

Mike Payne

Chief Technology Officer
Leonie Alsop

Leonie Alsop

Chief Marketing Officer
John Groetch

John Groetch

Global Head of PS
Sue Kent

Sue Kent

Chief Administrative Officer
Joseph Kubeyka

Joseph Kubeyka

General Manager, Asia Pacific
Lou Longhi

Lou Longhi

EVP Sales, Americas
Peter Taylor

Peter Taylor

Human Resources Director
Tina Wilkinson

Tina Wilkinson

Global Head of Product
Thomas Chevalier

Thomas Chevalier

Head of Sales, EMEA
Ian Dwyer

Ian Dwyer

Director of Global Alliances

Lombard Risk Management Office Locations

Lombard Risk Management has an office in London, New York, Hong Kong, Mumbai and in 4 other locations
London, GB (HQ)
60 Gracechurch St
Shanghai, CN
Shanghai Research & Development and Testing centre 34th Floor Hai Tong Securities Tower 689 Guang Dong Road Shanghai
Frankfurt am Main, DE
17 Bockenheimer Landstraße
Hong Kong, HK
Unit 2105 21st Floor Harcourt House 39 Gloucester Road
Mumbai, IN
Level 8, Vibgyor Towers, C-62, G Block, Bandra Kurla Complex
Minato, JP
Level 14 Hibiya Central Building 1-2-9 Nishi-Shimbashi
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Lombard Risk Management Financials and Metrics

Lombard Risk Management Financials

Lombard Risk Management's revenue was reported to be £34.33 m in FY, 2017

Revenue (FY, 2017)

34.3 m

Gross profit (FY, 2017)

34.2 m

Gross profit margin (FY, 2017), %


Net income (FY, 2017)

(700 k)

EBITDA (FY, 2017)

2.4 m

EBIT (FY, 2017)

(1.7 m)

Market capitalization (2-Oct-2017)

28 m

Closing share price (2-Oct-2017)


Cash (3-Feb-2018)

7 m
Lombard Risk Management's current market capitalization is £28 m.
GBPFY, 2008FY, 2009FY, 2010FY, 2011FY, 2012FY, 2013FY, 2014FY, 2015FY, 2016FY, 2017


8.5 m8.7 m8.9 m11.8 m12.8 m16.8 m20.4 m21.5 m23.7 m34.3 m

Revenue growth, %


Cost of goods sold

52.9 k43.9 k174.1 k82.5 k123 k201 k164 k298 k175 k122 k

Gross profit

8.4 m8.7 m8.8 m11.7 m12.6 m16.6 m20.2 m21.2 m23.5 m34.2 m
GBPFY, 2008FY, 2009FY, 2010FY, 2011FY, 2012FY, 2013FY, 2014FY, 2015FY, 2016FY, 2017

Net Income

(966.6 k)(1.2 m)(1.6 m)1.3 m2.5 m3.7 m5.2 m2.3 m(2.9 m)(700 k)

Cash From Operating Activities

(1.2 m)(857.2 k)(547.6 k)1.2 m1.8 m5.8 m5.2 m5.7 m3.7 m4.1 m

Dividends Paid

103 k139 k172 k211 k243 k

Cash From Financing Activities

485.4 k710.3 k1.2 m(5 )2 m946 k1.5 m(870 k)3.7 m7.9 m
GBPY, 2017


98.5 k

Financial Leverage

1.6 x
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