As a recently launched fund, OneIM was interested in a PMS to support its liquid credit strategy.
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Client Stories
Our clients range from global banks and leading asset managers to large commodity trading firms and start-up hedge funds. Learn how our next-generation technology and dedicated support help our clients to reach their full potential.
Multinational energy firm selects Quantifi for XVA trading & counterparty risk management
The client is a leading market maker specialising in energy and metals derivatives that provides comprehensive coverage across physical commodities, listed derivatives and OTC derivatives in oil, gas, power, emissions and metals.
Sona Seamlessly Transitions to Quantifi’s Enterprise Grade Risk Management Solution
With Quantifi’s data science-enabled solution, Sona can create custom analytics by utilising Quantifi’s pricing models in Python and integrating the trade, market and reference data from Quantifi’s risk system.
Traxys Adopts Quantifi for Market & Counterparty Risk Management
Built specifically for commodity firms to achieve optimal trading and risk management outcomes, Quantifi offers a powerful and adaptable solution that delivers exceptional performance.
Pepper Global Selects Quantifi for Market Risk Management
Pepper Money UK is an award-winning UK specialist mortgage lender which is part of Pepper Global. Since inception in 2016 Pepper Money UK had deployed internally developed solutions designed to manage market and interest rate risk and had identified the need to enhance these systems to support planned growth.
APAC Investment Bank Selects Quantifi’s Integrated Capital Markets Platform
Headquartered in Sydney, the client provides corporate and strategic advisory, equity and debt capital market underwritings, cash equities, research, prime brokerage and traditional fixed income services.
Arini Transforms Trading and Risk Management with Quantifi
Quantifi is highly customisable, which allows Arini to tailor the solution to its specific investment needs. This flexibility was essential for a firm like Arini, which manages a diverse range of assets and investment strategies.
Palm Lane Capital Selects Quantifi’s Portfolio Management Solution
Palm Lane Capital is a London based alternative credit asset manager that applies both quantitative and fundamental analysis to generate returns from relative value opportunities arising from inefficiencies and dislocations in credit markets.
Nomura Selects Quantifi for its Advanced Structured Credit Models
Nomura is a global financial services group with an integrated network spanning over 30 countries and regions. By connecting markets East & West, they service the needs of individuals, institutions, corporates and governments.
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