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.

Market volatility, a demanding regulatory environment, and the emergence of new market entrants continue to raise the stakes for investment management firms. To support its future growth ambitions, Palm Lane sought a front-to-back portfolio management solution (PMS) that could deliver the sophistication required by traders, portfolio managers, and operations.

Palm Lane’s decision to select Quantifi is another example of sophisticated investment managers leveraging its expertise to enhance their data and analytics capabilities to support the complexity of their front office and improve operating efficiency.

Quantifi was selected for its rich functionality, superior risk analytics, and highly scalable platform. Download the full case study to see how Quantifi enables Palm Lane to manage risk across bonds, credit, and equity.

“We have high demands on our systems and we require a portfolio management solution that can deal with the complexity of our trading strategies and streamline key processes. Quantifi has helped drive the operational efficiency and resiliency required to support our growth plans.”

David Park, Chief Operating Officer, Palm Lane

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