SAGE SA

SAGE Group SA is a global financial technology company. It is the reference in providing integrated, innovative and productive solutions specific to each sector. Its goal: Help financial professionals to focus on what they do best--managing money, not systems.

Company Resources

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Video: Prospero 365 System Overview

15th December 2016

This is an overview on how SAGE's Prospero 365 financial software works.
Prospero 365 Fund Management

15th December 2016

Prospero 365 Fund Management Software is a complete, ready-to-use solution that allows you to be fully operational to especially manage and administer unlimited number of funds and unit trusts. Prospero 365 Fund is also a hedge fund trading software ideal for investors.
Video: BlackSwan Financial Platform

14th July 2014

Watch a demonstration of BlackSwan Financial Platform as it was launched at FinovateEurope 2013.
Prospero Wealth Management software

14th July 2014

Prospero Wealth Management software is a comprehensive wealth management tool that provides all of the functionality necessary to run a wealth management business across all asset classes, from front office to back office, including General Ledger–without confusing interfaces and hefty maintenance.
Prospero Independent Asset Manager (IAM) & Family Office software

14th July 2014

Prospero Independent Asset Manager (IAM) & Family Office software allows you to aggregate accounts from different financial institutions and trade on all products.
Prospero Asset Management software

13th May 2014

Prospero Asset Management software is an all-encompassing solution that helps asset managers stay ahead of the curve, analyzing and trading any kind of financial instrument. Compare your performance to a benchmark. Produce detailed analytics. Since new regulations have increased back-office burden–we integrate these regulations in the process and...
BlackSwan Financial Platform

21st May 2013

BlackSwan Financial Platform (BlackSwan) provides you with a new approach to maximize returns and minimize losses during extreme market conditions. It uses a mathematical model to find the allocation, within a portfolio of financial assets, that maximizes the investor's expected return while minimizing his maximum loss. It helps maximize returns...