For buy side firms, moving to multi-asset investing is an absolute necessity and is critical to achieving a competitive advantage. This shift is placing heavy demands on portfolio and risk systems that were not designed with this multi-asset world in mind.
Join This Event To Learn How To:
- Enhance performance and respond faster to market opportunities with the freedom to trade what you want, when you want and where you want
- Optimize and manage multi-asset portfolios with configurable portfolio analytics and risk report
- Align the front and middle office and minimize operational risk with a centralized valuation and risk engine
- Satisfy investors and regulators with consistent risk measurement and reporting
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