Fixed income portfolio management and analytics
25 November 2014
Discover how to find alternative sources of return, attract new flows and comply with regulation in an increasing complex and competitive fixed income market. This document describes how technology can assist portfolio managers to obtain a unified view of the investment process to make timely and informed trading decisions.
|Download the Fixed Income solution insight >>|
Although the investment management sector is showing strong growth, the constant search for returns is forcing diversification of investment strategies and competition is driving change throughout the industry. Overall inflows towards fixed income portfolios remain modest, with most of the movement coming from a shift from traditional strategies to specialties or passive management. With new regulations incurring additional costs, the global profit pool is under pressure. To increase market share while keeping margins at a healthy level, fixed income asset managers must have the right tools at hand to make faster and better decisions.
To find out more, download the Fixed Income solution insight
Having portfolio and risk management, analytics and compliance in a single system can ultimately negate up to 70% of a firm’s interfaces