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Quantitative Analysis Tools for Investment Research & Analysis
Software for statistical analysis, econometric modeling, and quantitative research to identify patterns, correlations, and potential investment opportunities based on historical data and mathematical models.
Other Investment Research & Analysis
A financial analysis desktop and mobile platform that provides access to real-time market data, news, fundamental data, analytics, trading, and messaging tools. Covers multiple asset classes with customizable workspaces and APIs for integration.
Extensive database of public and private companies, M&A transactions, with screening tools, comparables analysis, relationship mapping, league tables, and industry analytics. Includes financial modeling tools, Excel integration, and mobile access.
Investment analytics platform with global database of managed investments, securities, indexes, and market data. Includes portfolio analysis tools, ESG data, risk metrics, and performance attribution.
Multi-asset class risk management platform that provides VaR analysis, stress testing, and scenario analysis. The solution covers equities, fixed income, FX, commodities, and derivatives, with both historical and Monte Carlo simulation methodologies.
Specialized platform for factor analysis, strategy backtesting, and portfolio construction. Provides access to factor data, research insights, and quantitative tools for smart beta strategies, factor investing, and systematic portfolio management.
End-to-end quantitative investment platform for strategy design, backtesting, and implementation. Offers extensive historical data, sophisticated backtesting capabilities, factor modeling, and risk analysis with cloud-based computing infrastructure.
Factor-based portfolio analysis and peer comparison platform. Offers style analysis, factor exposure measurement, peer group analysis, and ESG analytics with intuitive visualization and reporting tools.
Comprehensive risk modeling and portfolio optimization system. Includes multi-asset class risk models, advanced optimization techniques, performance attribution, and tax-aware portfolio management with daily updated risk forecasts.
A cloud-based platform that offers investment performance measurement, risk analysis, and reporting capabilities, making it easier to conduct quantitative investment analysis and visualize results.
Delivers a comprehensive platform for quantitative research and risk management, supporting model development, scenario analysis, stress testing, and integration with regulatory reporting.
Provides advanced quantitative analytics, portfolio modeling, risk analytics, performance attribution, and scenario analysis fully integrated within SimCorp Dimension’s investment management platform.
Provides augmented search and quantitative research tools for discovering market trends, signals, and quantifiable insights from financial documents, news, and transcripts.
Provides advanced risk modeling, scenario analysis, factor-based analytics, valuation, and a robust API for integration with investment workflows. Suited for buy-side firms and asset managers.