Cross-asset analytics provide timely, accurate and consistent valuation for even the largest and most complex of portfolios
The buy-side markets have undergone dramatic change. The combination of MiFID ll and Solvency ll have resulted in deep ongoing structural changes to the markets. The ability to anticipate and respond to market and portfolio changes are key motivators for investment managers to maintain a strong risk function. Sophisticated and robust analytics are an important component of this capability. Quantifi's advanced cross-asset analytics combined with new technology significantly enhance the ability for firms to monitor and control risk.