Hedge Fund Systems

Browse our collection of hedge fund investment systems which include a variety of asset software and services related to the hedge fund sector, including short selling, entering into futures, swaps and derivative contracts, as well as portfolio systems and leverage.

Company: Misys
Investment Management Complexity. Simplified:   Misys FusionInvest is a fully integrated portfolio and risk management system for investment managers. It delivers flexibility, transparency and consistency throughout the investment process, enabling true collaboration across functional departments. The unrivalled asset class coverage and powerful analytics are housed within a single, yet ...
Company: Hedgeguard
Our product offering is comprised of our cloud-based PMS (Portfolio Management System) These solutions have been built by ex-buyside professionals who know the challenges faced by portfolio managers in today’s increasingly competitive environment.The HedgeGuard PMS is a full front-to-back software which provides portfolio managers and buyside teams with all the tools required to run ...
Broadridge’s Investment Management Solutions offer an integrated front-, middle- and back-office platform, to hedge funds, asset managers, fund administrators and prime brokers. Our modular solutions include order management, portfolio management, reference data management, data warehouse and custom reporting and reconciliation. Our technology is part of a flexible architecture that enables ...
Turnkey Front-to-Back Office Solution from Trading through Portfolio Accounting Broadridge’s FastStart hedge fund manager operating platform is the most complete application in the market for emerging managers — for all asset classes. FastStart is an innovative business solution for start-up and growing hedge fund managers that combines mission critical trading, portfolio and risk ...
Broadridge’s Form PF solution automates the complex data aggregation processes required to help hedge funds meet SEC Form PF reporting obligations. Form PF offers hedge funds a proven end-to-end Form PF service that reduces the time and cost involved in reporting and helps position firms to respond to future regulatory requirements through an institutionalized process. Combining ...
Broadridge is the only Premier Advent software solution partner that combines cost-effective managed hosting services with a comprehensive, modular platform of front-, middle-, and back-office applications. Broadridge offers a suite of integrated front-, middle-, and back-office tools that complement and enhance Advent’s Geneva® global accounting platform, including: ...
Comprehensive compliance solution for fund administrators, custodians and asset managers An automated tool used to run complex rules across large numbers of funds to produce meaningful, detailed compliance reports. A fully hosted, managed solution that provides funds and administrators with powerful post-trade compliance reporting capabilities A client-facing solution that ...
Company: AutoRek
Some of the world’s largest and renowned asset managers use AutoRek to reduce back office costs, improve STP and client service, and to comply with ever increasing financial regulations. Asset Managers turn to AutoRek for a range of projects, whether the agenda is driven by cost, process efficiency or regulatory reporting. The projects include: Custody Reconciliations Our ability to match ...
Our solution for AIFMD Annex IV Reporting is market leading and comprehensive. We support hundreds of AIFs annually, including complex derivative funds, infrastructure, real estate and private equity funds. It enables organisations to rapidly comply with the AIFMD requirements in respect of leverage, liquidity monitoring, risk management and regulatory reporting, without implementation ...
Our Shareholder Disclosures solution provides automated monitoring of global shareholder disclosure rules across 80+ countries on a single platform. This includes the monitoring of: Major Shareholdings Takeover Disclosures Short Selling Foreign Investment Rules Sensitive Sector Rules   Key Features: Comprehensive rules engine Pre-configured package of ...
Our 13F solution takes the complexities of 13F Reporting and makes it a fully automated, quick, simple and transparent process. It is available as a stand-alone service or as part of a comprehensive suite of regulatory reporting solutions.   About US SEC Form 13F Institutional investment managers who hold at least $100 million in market value of qualifying securities are required to ...
We have teamed with Statpro to make available best-of-breed Value-at-Risk Analysis available to our clients.   We can offer you: Standalone VaR; or VaR as a bolt on to UCITS Investment Compliance and/or AIFMD Annex IV Reporting   Clients benefit from our economies of scale, data integrations with multiple Fund Administrators and Prime Brokers, our data normalisation ...
Company: Murex
MX ASSET MANAGER   Our solution provides native cross asset portfolio management, proposes a consistent and centralized management of cash and derivatives products, and is adapted to asset managers and hedge funds vision of risk, investment policies, regulatory reporting, and compliance requirements.   The breadth of functionalities in the MX ASSET MANAGER makes it the ...
Since 1993, Imagine Software has been a leading provider of investment management solutions for the global financial industry. Its award-winning enterprise product, the Imagine Trading System—and its on-demand cloud-based ASP version, Derivatives.com—is a real-time integrated trading, portfolio, and risk management solution employed by thousands of buy-side and ...
IFP provides a cloud-based environment for the financial community to use and create applications—Imagine Apps—that leverage, customize, and extend the Imagine Trading System in a limitless manner. Built in IFP or acquired through the Imagine Marketplace, Imagine Apps can be: ·         As simple as a personalized view for an ...
The Imagine Risk Aggregator helps all those investing across multiple funds and asset classes around the globe achieve greater transparency into investments, access more meaningful risk analyses, and foster increased investor confidence in risk exposure data. By independently sourcing information from third parties, verifying, and normalizing the position level data that is typically not ...
ETHIX-Fund enables the Bank/ Investment Institutions to set up Funds as a separate legal entity with its own assets and liabilities’ structures, separated from the books of the Bank/Investment companies. The system provides the option to set up different types of Funds based on the following Fund Classications. Equity fund Money market fund Hybrid Fund Debt Income ...