Lombard Risk Management

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)
317 (est)+13%
Lombard Risk Management was founded in 1989 and is headquartered in London, GB

Lombard Risk Management Office Locations

Lombard Risk Management has offices in London, New York, Shanghai, Hong Kong and in 4 other locations
London, GB (HQ)
60 Gracechurch St
Frankfurt Am Main, DE
17 Bockenheimer Landstraße
Minato, JP
Level 14 Hibiya Central Building 1 2 9 Nishi Shimbashi
Mumbai, IN
Level 8, Vibgyor Towers, C 62, G Block, Bandra Kurla Complex
Singapore, SG
30 Raffles Place #20 04 Chevron House
Hong Kong, HK
Unit 2105 21st Floor Harcourt House 39 Gloucester Road
Shanghai, CN
Shanghai Research & Development And Testing Centre 34th Floor Hai Tong Securities Tower 689 Guang Dong Road Shanghai
New York, US
205 Lexington Ave

Lombard Risk Management Data and Metrics

Lombard Risk Management Financial Metrics

Lombard Risk Management's revenue was reported to be £23.7 m in FY, 2016 which is a 10% increase from the previous period.
£, GBP

Revenue (FY, 2016)

23.7 m

Revenue growth (FY, 2015 - FY, 2016), %


Gross profit (FY, 2016)

23.5 m

Gross profit margin (FY, 2016), %


Net income (FY, 2016)

(2.9 m)

Market capitalization (16-Jun-2017)

54.2 m

Closing share price (16-Jun-2017)


Cash (31-Mar-2016)

3.3 m
Lombard Risk Management's current market capitalization is £54.2 m.
£, GBPFY, 2014FY, 2015FY, 2016


20.4 m21.5 m23.7 m

Revenue growth, %


Cost of goods sold

164 k298 k175 k

Gross profit

20.2 m21.2 m23.5 m

Gross profit Margin, %


Operating expense total

15.8 m18.9 m25.7 m

Pre tax profit

4.4 m2.3 m(2.2 m)

Net Income

5.2 m2.3 m(2.9 m)
£, GBPFY, 2014FY, 2015FY, 2016


2.9 m2.2 m3.3 m

Accounts Receivable

2.9 m3.7 m3.7 m

Current Assets

8.7 m9 m9.6 m


1.3 m2.5 m1.4 m


16.8 m20.2 m22.5 m

Total Assets

26.8 m31.7 m33.4 m

Accounts Payable

741 k904 k637 k

Current Liabilities

8.5 m11 m11.7 m

Retained Earnings

5 m2.1 m(3.2 m)

Total Equity

18.2 m20.8 m21.7 m

Financial Leverage

1.5 x1.5 x1.5 x
£, GBPFY, 2014FY, 2015FY, 2016

Cash From Operating Activities

5.2 m5.7 m3.7 m

Cash From Financing Activities

1.5 m(870 k)3.7 m

Income Taxes Paid

735 k(2 k)(729 k)
£, GBPY, 2016


83.8 k

Financial Leverage

1.5 x

Lombard Risk Management Market Value History

Lombard Risk Management Online and Social Media Presence

Lombard Risk Management News and Updates

Lombard Risk Management Company Life and Culture

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