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Ratings and Reviews 0 Ratings
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What is Investortools?
Investortools provides essential insights for recognizing and measuring the various elements that influence a portfolio's total return. Explore the underlying mathematical principles that drive these assessments and learn how the Custom Index Manager (CIM) can clarify your portfolio's performance. Factor-based attribution dissects returns by applying independent systematic factors, including income effects, yield curve adjustments, and spread influences. In contrast, allocation attribution centers on the excess return—defined as the difference between the portfolio's overall return and the benchmark's total return—arising from strategic allocation decisions and variations within each category. Furthermore, simulated performance offers a thorough (Bottom-Up) evaluation of Total Return, deepening your comprehension of investment results. This multifaceted approach not only enhances an investor's understanding but also equips them with the essential tools needed to make well-informed decisions and fine-tune their portfolio strategies for optimal results. Ultimately, these insights empower investors to navigate the complexities of the market with greater confidence.
What is Broadridge Risk Master?
Risk Master empowers mutual funds and ETF providers to adeptly oversee their market and credit risks across diverse asset classes and investment approaches. With the capability to conduct historical scenario analyses, calculate Value at Risk (VaR), and apply stress factors, users can perform comprehensive risk assessments effortlessly. Our cloud-based risk management platform is seamlessly integrated with our order management (OMS) and portfolio management (PMS) systems, all accessible through a unified interface. Enhance your risk exposure management strategies with our cutting-edge solutions. Our team of dedicated representatives and specialists stands ready to provide the support necessary to advance your business objectives. By utilizing our expertise and data-driven offerings, you can focus on achieving your core business goals while maintaining adherence to regulatory requirements. Asset managers favor Broadridge's platform due to its dependability and efficiency. As a frontrunner in global Fintech, boasting revenues that surpass $5 billion, Broadridge provides crucial infrastructure that underpins investing, corporate governance, and communication, thereby promoting better financial health. This dedication to excellence not only reinforces our clients' capabilities but also instills confidence as they navigate the intricate financial landscape. Ultimately, our innovative solutions position businesses to thrive in an ever-evolving market environment.
Integrations Supported
AccessFintech
API Availability
Has API
API Availability
Has API
Pricing Information
Pricing not provided.
Free Trial Offered?
Free Version
Pricing Information
Pricing not provided.
Free Trial Offered?
Free Version
Supported Platforms
SaaS
Android
iPhone
iPad
Windows
Mac
On-Prem
Chromebook
Linux
Supported Platforms
SaaS
Android
iPhone
iPad
Windows
Mac
On-Prem
Chromebook
Linux
Customer Service / Support
Standard Support
24 Hour Support
Web-Based Support
Customer Service / Support
Standard Support
24 Hour Support
Web-Based Support
Training Options
Documentation Hub
Webinars
Online Training
On-Site Training
Training Options
Documentation Hub
Webinars
Online Training
On-Site Training
Company Facts
Organization Name
Investortools
Date Founded
1983
Company Location
United States
Company Website
www.invtools.com
Company Facts
Organization Name
Broadridge
Company Location
United States
Company Website
www.broadridge.com/financial-services/asset-management/mutual-funds-etf/simplify-regulatory-reporting/credit-and-market-risk
Categories and Features
Financial Risk Management
Compliance Management
Credit Risk Management
For Hedge Funds
Liquidity Analysis
Loan Portfolio Management
Market Risk Management
Operational Risk Management
Portfolio Management
Portfolio Modeling
Risk Analytics Benchmarks
Stress Tests
Value At Risk Calculation
Categories and Features
Financial Risk Management
Compliance Management
Credit Risk Management
For Hedge Funds
Liquidity Analysis
Loan Portfolio Management
Market Risk Management
Operational Risk Management
Portfolio Management
Portfolio Modeling
Risk Analytics Benchmarks
Stress Tests
Value At Risk Calculation