Case Studies

LFIS Capital Selects Quantifi for Broader Asset Coverage in Front-office Analytics & Risk Management

Request a Copy

LFIS Capital (LFIS) is a leading Paris-based quantitative asset manager. Launched in 2013, LFIS has $11 billion of assets under management for a global client base. LFIS combines investment banking and asset management expertise to deliver innovative cross-asset, cross-instrument alternative, multi-asset and dedicated funds and solutions.

Requirements

LFIS takes a multi-strategy, multi-asset approach to credit investing. Its systematic, value-driven process seeks to capture dislocations and inefficiencies across the range of credit markets and instruments with optimised implementation. LFIS wanted to continue expanding its diversified credit strategy and required a new front-to-back analytics and portfolio management solution able to support this initiative and successfully navigate complex credit markets.

Selection Process

To support the growth of LFIS’ sophisticated trading strategies, an end-to-end solution capable of providing the necessary performance measures and advanced analytics for modelling credit indices and tranches was required. Robust risk functionality was also essential.

LFIS was seeking a provider with extensive experience supporting sophisticated investment managers with the tools required to make informed investment decisions, improve transparency and manage risk.


 

LFIS logo
 

 

"With Quantifi’s strong emphasis on quantitative techniques for modelling and comprehensive risk management, we have further enhanced how we track, trade and risk monitor investment opportunities and can spend more time on active portfolio management."

 


 

View the Full Case Study

Request a Copy