Calypso Investment Management provides investment managers with a modern and comprehensive front-to-back multi-asset portfolio management solution. It offers full connectivity to existing and new electronic marketplaces including SEFs, clearing brokers and trade repositories. All investment managers, whether running passive or active strategies, can realize opportunities to enhance portfolio yields through Calypso’s collateral management and securities finance solutions.
Calypso Investment Management unifies portfolio management, risk and collateral into one integrated solution. Capabilities include multi-asset position keeping, valuation, risk and P&L, seamless collateral management, integrated securities finance, real-time interactive risk views, configurable dashboards, advanced risk analytics, pre-and-post-trade compliance and multi time zone capability.
Benefits include deep multi-asset coverage, automated Dodd-Frank/EMIR compliant workflows, yield-enhancing collateral capability, integrated collateral and securities finance, a modern architecture and reduced TCO.
Deployable on premises, Cloud or hybrid.