Bringing control, order and coherence to middle office analytics
The Anova platform is home to three distinct solutions which are supported by common functional components which can interoperate as needed. These are:
Anova Aggregator delivers actionable, accurate and complete investment information to end users, clients, regulators and downstream systems. Post-trade accounting and analytics data is typically distributed across multiple systems. Anova aggregates and consolidates that data to create a single complete and consistent repository of investment information.
Anova Performance is a well established and proven, comprehensive and highly scalable performance measurement and attribution solution for investment and wealth managers offering granular analysis across all geographies, asset classes and strategies.
Anova Portfolio Monitor (Anova for Wealth Managers) extends the data management capabilities of the Anova platform with a highly scalable real-time position-keeping engine to create a platform for wealth management operations capable of processing very high trade volumes and millions of customer accounts.
A critical function in the successful provision of investment analytics in all investment operations is its support of the distribution and consumption of information. Anova offers three main options:
- Role based dashboards - for the presentation of insightful investment information. Dashboard customisation is user configurable rather than being dependent on developers for bespoke requirements.
- Integrated report production - for clients and other stakeholders - This is included as standard. However if the investment firm chooses to use its own reporting capability, then this can be easily interfaced with Anova.
- Direct data access - by systems for use in downstream supporting IT solutions.