Risk Management, Performance & Reporting
Source Taps Northern Trust for Admin on New ETF Product
This is the extension of an existing relationship between Northern Trust and Source.
Algo-Axioma Alliance Will Benefit the Buy Side
Toronto-based Algorithmics will now offer its buy-side clients data derived from Axioma's multi-factor equity models as part of its Algo Risk Service.
Rage Against the Machine
Icap's currency-trading system went rogue and inadvertently caused the Swiss franc to fall. Although the incident was a "mistake" and should never have happened, it's no less disconcerting.
No More 'Sacred Cows' in Buy-Side Outsourcing
Buy-side firms are turning to vendors to manage operations that would have been unthinkable just a couple of years ago
Markit Unveils CDS Sensitivities Service
CDS Sensitivities will help risk managers to comply with regulations that require firms to disclose how the firm perceives, measures and manages financial risk.
Serone Capital Opts For Principia on Risk Front
Principia's Software-as-a-Service (SaaS) platform will provide Serone Capital with consolidated portfolio management, risk surveillance and operational support across the fund manager's European credit investment business.
Alfred Berg AM live on VPD’s Flagship Risk, Reporting Platform
Nordic asset mamager will use VPD Risk & Performance to support its Global Investment Performance Standards (GIPS) reporting, attribution, and enterprise data management functions.
The Art of Communication
Anthony examines the importance of communication when enacting an IT overhaul.
Dorchester Extends Relationship with Citi
Dorchester Capital Advisors builds on its long-standing relationship with Citi.
Barclays Implements Rockall for Collateral Management
STOC solution used in bank's UK business before further roll-out.
Vertex Moves to Point Nine's Cloud
Investment firm migrates UCITS fund to Circle.2.
Tail Risk Takes on Greater Importance
In these volatile markets, firms are paying more attention to tail risk.
Abacus Partners with Orchestrade
Abacus to provide Orchestrade solution through AbacusFLEX
What Do You Fear?
Anthony examines some of the issues that companies fear in 2012.
Valuations: Challenges and Opportunities in the Era of Cleared OTC Derivatives
Derivatives clearing via a central counterparty (CCP) should increase transparency and empower firms to use derivatives with greater effectiveness. But while CCP-generated valuations will be hugely beneficial, they will not be a panacea. Is your…
5:15 Selects SunGard Front Arena
Asset manager to use software for OTC derivatives valuations and analytics.
Real-Time Risk Management Now
The calls for real-time risk management are growing louder and more frequent. Its proponents point to recent advances in hardware, analytics and data management that make real-time risk management no longer a pipe dream but a genuine prospect. However,…
Credit Suisse to Expand Wealth Management Practice Into Chile
Credit Suisse announced that it has received a broker-dealer license in Chile to provide wealth management services to locals.
Eagle Asset Management Chooses SimCorp Dimension
Eagle taps SimCorp Dimension for investment management and reporting.
The Best of Times, the Worst of Times
Looking back on 2011, and ahead to 2012.
NRI Discusses the Asia-Pacific Buy-Side Landscape for 2012 (Q&A)
Shin Kusunoki of NRI gives his take on how buy-side firms in the Asia-Pacific region are gearing up for 2012.
Risk and Compliance Webcast
Waters gathered leading industry experts to discuss the latest developments in the risk management and compliance space in a webcast on 14 December
Get Outta Here, 2011
2011 was a tough one for many of you. Here's to hoping that there are better things ahead.
Juggernaut Manages Risk with Imagine
Singapore-based trading firm to take software through an ASP model.