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Murex Paris Office Head Office

15-25 Boulevard de l’Amiral Bruix

Murex | New York Office

870 Seventh Avenue14th floor
New York

Murex | Sydney Office

Suite 1401, Level 141 Castlereagh Street


33 1 44 05 32 00

MX.3 for Investment Management

MX.3 for Investment Management (IM) provides financial institutions with an innovative technology alternative. Buy-side clients rely on MX.3 to aid decision making; sophisticated risk modeling and performance analysis enable increased control throughout the investment life-cycle. Portfolio diversification is delivered through immediate and seamless access to any product type, across an unparalleled range of asset classes.

Our portfolio management solution includes a real-time dashboard to create, analyze and execute any investment strategy. Position keeping, order and cash management, and compliance are all integrated to increase operational efficiency and reduce risk.

Real-time risk simulation and investment optimization features provide managers with tools to monitor portfolio risk and performance attribution.

MX.3 for IM supports compliance throughout the entire investment cycle, covering regulatory, internal and investment requirements, which are monitored in both pre- and post-trade. The ability to easily access holdings, cash balances, risk and performance figures for in-depth analysis of your underlying positions enables better regulatory reporting. As a single source of data across business units, our solution provides transparency for both clients and regulators.

Investment management strategies are evolving to increase returns and manage compliance. MX.3 for IM is a flexible and comprehensive solution that gives investors a powerful alternative to traditional investment systems.

View other products from Murex

MX.3 for Enterprise Risk Management (ERM)

MX.3 for Enterprise Risk Management (ERM) is designed to help financial institutions optimize their risk infrastructures and reduce the cost of compliance. The cross-asset, cross-function platform provides a new model for risk and collateral management, enabling institutions to control and monitor risk at every step of the value chain. It can be used as an …

MX.3 Overview

The MX.3 platform offers flexibility and openness, sitting at the center of your IT infrastructure, it works with your existing systems as well as the wider capital markets ecosystem. From trading and post-trade operations to risk management, MX.3 provides best-of-breed functionality, with unmatched coverage across all asset classes.  Supporting IT transformation  With IT infrastructure directly …

MX.3 for Treasury

Where bank treasuries often rely on several different systems, MX.3 combines all aspects of the function to provide an integrated overview of your positions. It consolidates your money market activities and banking book exposures, as well as submissions from all investment activities on one platform. This enables central and local funding needs to be managed …