Extra-class data connection

With our many years of expertise, we ensure that all data can be easily integrated into your existing systems via user-friendly APIs. Whether for trade, analysis or financial portals. This gives you and your users exactly the information that counts – fast, safe and simple. Precise financial information is the basis for sound decisions.





ETFs and funds

We are your data source for worldwide stock exchange information. Categories such as equity funds, mixed funds, umbrella funds, derivatives funds, hedge funds or pension and real estate funds serve a clear division. To do this, you can help you with course data from fund companies (Net Asset Value), ESG data with the most important sustainability ratings and regulatory documents.

Share classes

Funding companies

ETFs

Certificates

ARIVA.DE’s derivatives database currently includes more than 1.8 million asset certificates and leverage products. The classification is carried out in more than 140 product types according to the requirements of the EUSIPA and the German Derivatives Association DDV. Whether indices, individual shares, commodity types or other investment goods, including the basic values to which the individual derivatives relate, are categorized and divided into a scheme of more than 150 industries and topics.


Our database is available to individuals, businesses and public institutions. All new emissions are already before start of trading completely implanted. Good to know: The master data we maintain are according to the European industry association EUSIPA and Federal Association for Structured Securities (BSW) classified.

1.8 million certificates

140 product types

Service for Issuers: We automatically remove the same certificate data and monitor all products based on defined basic values, efficient, reliable and with high quality standards.



92
Course / profit
0 – 100
Market capital
69
Turnover
9.751mio. €

To assess the financial strength of a company, Course-winning ratio and Market capital indispensable. With the KGV you receive a direct reference to Growth potential or possible underassessment. With the Market capital you can better classify companies, assess risks and strategically align portfolios.

You meet these key figures sound investment decisions, recognize opportunities faster and can analyse market movements more targeted.





Current and reliable fundamental data are the basis for sound investment decisions. We connect company key figures with market data and continuously develop our data platform to support analytics precisely and meaningfully.

Our fundamental data is based not only on annual accounts, but also on quarterly reports and ad hoc reports. We ensure that changes are recorded in a timely manner and investors are kept up to date.

In addition, we calculate our own dividend estimates and continuously expand our KPI universe.



ARIVA CASES