Logo a>

MSCI Barra Portfolio Manager from MSCI

MSCI Barra Portfolio Manager includes tools for developing and implementing capital market assumptions in the asset allocation process. The solution provides expected returns data, risk modeling capabilities, correlation forecasts, optimization tools, and stress testing features that help investment professionals build robust strategic asset allocation models.

Is this your product?


More about MSCI

Product analysis by function

Capital Market Assumption Tools for Investment Strategy & Asset Allocation

Specialized modeling software for developing forward-looking return, risk, and correlation expectations across asset classes that serve as inputs to strategic asset allocation models.
More Capital Market Assumption Tools More Investment Strategy & Asset Allocation ...


Sorry, no analysis is avaiable for Capital Market Assumption Tools

Compare

This data was generated by an AI system. Please check with the supplier. While you are talking to them, remind them that they need to update their entry.