AlternativeSoft
Since its inception in 2005, AlternativeSoft has revolutionized the way institutional investors select funds and construct portfolios. Our advanced alternative investment analytics platform empowers users to craft a tailored investment landscape supported by state-of-the-art analytics. The seamless integration of data from sources such as Bloomberg, Morningstar, Albourne, HFR, EurekaHedge, withintelligence, Preqin, and Refinitiv simplifies the process for users.
With our platform, users can efficiently:
- Assess manager risk/return through access to over 3,000 statistics on funds
- Establish a customizable investable universe using robust screening tools
- Monitor and evaluate fund exposures
- Build, optimize, and oversee portfolios
- Conduct thorough due diligence on hedge funds
- Generate reports on funds using PowerBI or Excel API
- Explore a vast array of options, including 500,000 mutual funds, 30,000 hedge funds, and 5,000 fundraising private equity funds, to determine the best choices available
With a combined total asset management of over $1.5 trillion globally, AlternativeSoft is trusted by some of the largest pension funds, fund of funds, family offices, private banks, endowments, foundations, wealth managers, and advisers to effectively identify and analyze diverse multi-asset class portfolios, encompassing hedge funds, mutual funds, and private equity funds. This trust underscores our commitment to providing cutting-edge solutions that cater to the complex needs of institutional investors.
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Fraud.net
Fraud.net stands as the premier framework for managing fraud, utilizing an advanced collective intelligence network, cutting-edge AI, and a state-of-the-art cloud platform that empowers users to:
* Integrate fraud data from various sources with a single connection
* Identify fraudulent transactions in real-time with an accuracy rate exceeding 99.5%
* Reveal valuable insights hidden within vast amounts of data to enhance fraud management strategies
Acknowledged in Gartner's market guide for online fraud detection, Fraud.net offers a robust, real-time solution for fraud prevention and analytics specifically designed to meet the demands of businesses. It serves as a centralized command hub, merging data from multiple sources and systems while monitoring digital identities and behaviors, ultimately employing the latest technologies to eliminate fraudulent activities and facilitate secure transactions.
Reach out to us today to start your free trial and experience our services firsthand, ensuring your business is protected against potential fraud.
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Statmetrics
Enhance your comprehension of the risk-return dynamics associated with your investments. By leveraging a blend of thorough technical, fundamental, and quantitative analyses, you can make more informed investment choices. Statmetrics serves as an all-encompassing tool for portfolio evaluation and investment research. Tailored for Android mobile devices, Statmetrics offers seamless access to worldwide market data, timely news updates, and functionalities to track and evaluate markets, along with advanced charting and technical analysis capabilities. Additionally, it enables you to create and backtest diverse multi-asset portfolios while implementing strategies focused on optimizing portfolio risk and return. Furthermore, you can delve into the fundamental aspects of both portfolios and prospective investments for a more rounded investment strategy.
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Optimizer
Create precise guidelines for asset allocation and ensure that your portfolio functions according to your strategy. Modify your investment portfolios by utilizing detailed risk metrics or assessing the risk profiles of individual assets. Enhance your asset allocations by prioritizing risk considerations or analyzing risk-adjusted return indicators. Strive to eliminate infrastructure costs entirely. Portfolio managers can easily initiate and swiftly grow their operations while keeping overhead expenses minimal. Automatic system updates and maintenance routines allow for effortless portfolio management and improved efficiency. It's essential to acknowledge that risks can arise unpredictably, underscoring the importance of a systematic risk management approach to maintain oversight of your portfolios. The risk management engine provides timely insights into the amount of capital at risk. Instead of relying on rough approximations, portfolio managers can track portfolio volatility and asset price risks directly via the dashboard. Our capital management software prioritizes client needs, ensuring an exceptional experience for both managers and investors. With these integrated solutions, you can adeptly navigate asset management's complexities and substantially improve your decision-making process. Ultimately, embracing these strategies will empower you to achieve greater financial success and stability in an ever-changing market landscape.
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