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

LFIS wanted to continue expanding its diversified credit strategy and required a new front-to-back analytics and portfolio management solution (PMS) able to support this initiative and successfully navigate complex credit markets. To support the growth of LFIS’s 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.

Quantifi’s solution leverages on a powerful, stable technology platform and rich functionality to deliver best-practice portfolio management, reporting and pre-trade analysis, and support all of LFIS’ risk management requirements. Benefits include:

  • End-to-end solution for traders, quants and portfolio managers
  • Sophisticated risk analytics combined with flexibility and usability
  • Access to the same model library in XL and the PMS for a single source firm-wide
  • Transparent risk reporting
  • Enhanced operational efficiency
  • Modern, flexible technology that can easily scale to support growth
  • Seamless interface with existing infrastructure

Download the complete case study to see how Quantifi’s front-to-back solution helps LFIS further strengthen its overall risk infrastructure and improve operational efficiency.

“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.”

Michael Hattab, Senior Portfolio Manager, LFIS Capital

Request A Copy

insights

Navigate major trends & developments shaping the industry

Client Stories

Axiom Alternative Investments Selects Quantifi’s Cloud Portfolio Risk Management Solution to Support its New Credit Fund

Quantifi was selected for its sophisticated analytics and out of the box implementation approach.

Client Stories

CQS Selects Quantifi’s Best-of-Breed Analytics to Replace Internal Systems

CQS selected Quantifi to provide enhanced pricing and risk management analytics, and to improve operational efficiencies.

Client Stories

Tresidor Investment Management Selects Quantifi to Support New Fund Launch

Tresidor Investment Management LLP is a London-based alternative investment manager that uses a disciplined fundamental research process to make long and short investments across the full spectrum of tradeable European credit.

Let's Talk!

Speak with one of our solution experts
Loading...