Email Contact Phone Company Visit Website

New York, USA Office

605 Third Avenue
New York
NY
US

Boston, USA Office

320 Congress Street 7th Floor
Boston
MA
US

New Jersey, USA Office

2 Journal Square Plaza
Jersey City
NJ
US

Telephone

+44 207 551 3000

Contact

Marketing
[email protected]

Broadridge Portfolio Master

The keystone of Broadridge's Investment Operations Platform, Portfolio Master combines order management, portfolio management, and risk management in a single application, enabling fund managers to streamline their operations and reduce complexity in their mid-back office.

Portfolio Master can help fund managers control exposure and inoculate their portfolio against adverse market conditions to protect carefully earned alpha. Also, actionable, up-to-date risk information can offer fund managers a competitive edge in volatile markets. With Portfolio Master, firms can manage risk — eliminating the need to integrate and manage risk management tools outside your OMS and PMS systems. This powerful combination of portfolio, order, and risk management with extensive reporting allows your firm to manage the full trade lifecycle in a single application.

Trade and Order management Features:

  • Comprehensive security coverage including equities, fixed income, FX, futures, and options, ABS/MBS and a wide range of OTC instruments (e.g., CDS, CDX, TRS, IRS, Variance Swaps, etc.).
  • Flexible trade modeling and rebalancing for order generation.
  • Complete electronic trading and order routing solution with FIX connectivity to executing brokers, trade algorithms, and industry-leading EMS’s platforms.
  • Real-time position and P&L viewer with seamless integration to real-time market data feeds.
  • Integrated pre- and post-trade compliance tools including real-time alerts, customizable rules, and full audit reporting for firm-wide compliance management.
  • Dynamic connectivity with prime brokers to identify short availability and locates in real-time OTC valuation, sensitivity analysis, and fixed income analytics.
  • Historical as-of-reporting (i.e., DTD, MTD, QTD, YTD, or custom periods).
  • NAV analysis, calculating, shadow accounting, and reporting.

Risk Management Features:

  • Scenario analysis:
    • View impact of scenarios on any set of positions, portfolios, and statistics.
    • Compare the impact of scenarios on actual and model portfolio positions.
    • Deterministic:
      • View the impact of user defined changes to the current market environment (including prices, currency rates, yield curves, and volatility surfaces).
    • Historical:
      • View the impact of historical scenarios on current market environment.
    • Predictive:
      • User defines shifts in core market variables and Risk Engine propagates to the market environment via multi-linear regression.
  • Value-at-Risk:
    • Calculate VaR intraday (including marginal, incremental, component, and conditional).
    • Calculations performed on any set of positions or portfolios.
  • Sensitivity analysis:
    • Interest rate sensitivity analysis is a matrix representing the aggregate sensitivity of any portfolio to each tenor point on each yield curve
    • User can identify concentrations of IR risk and focus on neutralizing (or exploiting) such concentrations
  • Integration and Automation:
    • Update viewed results in real-time as quantities change.
    • New securities and trades automatically swept to Risk Engine.
    • Historical Market Data provided by Broadridge.
    • Dedicated Risk Engine resources are separate from other.


Portfolio Management Features:

  • Automated security terms and conditions setup and maintenance.
  • Cash management and inception-to-date record keeping.
  • Automated corporate action processing.
  • Electronic two-way trade communication to counterparties via Broadridge Tradelink
  • Automated trade and position reconciliation with counterparties, prime brokers, and administrators


Firm-Wide Management and Client Reporting

Our application is a firm-wide risk, order, and portfolio management solution with extensive reporting that can drive better decision making across your enterprise. Reporting features include:

  • Broad library of portfolio, risk, operational, and financial reports
  • Integrated report designer for modifying existing reports or creating custom reports
  • Automated report generation and distribution
  • Online data analysis tools with current and historical data views, dynamic drill down, and custom grouping, filtering, and calculations
  • Web-based reporting and portal integration

View other products from Broadridge Financial Solutions

Broadridge Investment Management Solutions

A Best of Suite platform to support the portfolio management, compliance and investment operations needs of the institutional and alternative investment managers.  Broadridge’s Investment Management Solutions offers an integrated front, middle- and back-office platform, to hedge funds, asset managers, fund administrators and prime brokers. Over 250 global clients leverage the Broadridge Investment Management platform to …

Broadridge Securities Lending & Repo Solution

The Broadridge Securities Finance product suite provides an integrated front to back office solution for borrowing, lending, repo and collateral management across the equity and fixed income markets on an agency or principal basis. A flexible solution for the smallest direct lender to the global custodian, broker or intermediary.

Broadridge Operational Control

Our Reconciliation suite of software has been designed using the latest Business Process Management (BPM) technology to improve business performance across complex workflows, streamlining operations and improving STP rates across single or multiple lines of business. Highlights  Leverage existing IT infrastructure while enhancing with the latest technological developments Use flexible workflow and modeling features to …