London and New York (21st August 2015) - Quantifi, a specialist provider of analytics, trading and risk management solutions, today announced that it has been named Best Trading & Risk Management Solution at the 2015 Corporate Livewire Global Fund Awards. The awards recognise outstanding performance and continued excellence within the global financial services industry, from funds, fund of funds, hedge funds and service providers.
Quantifi, trusted by both start-ups and some of the largest and most sophisticated investment managers globally, provides a modern, open technology platform that offers greater transparency into pricing and risk management and allows adherence to existing regulations and flexibility to adapt to impending regulations.
The ability to satisfy regulatory requirements, including the US Dodd-Frank Act and the European AIFMD, and also anticipate and respond to portfolio risk are key motivators for investment managers to maintain a strong risk function. Next generation analytics are an important component of this function. Taking into account the broad functionality available within Quantifi’s single solution including pre and post-trade analytics, next generation reporting, an integrated risk framework that provides a single view of risk, coupled with Quantifi’s first-to-market support for the latest market innovations, Corporate Livewire recognised the ability of Quantifi to meet and exceed the needs of its clients.
|"We are delighted with the award and the recognition of our market leading position in this segment. Prominent Global Hedge Funds continue to place their trust in Quantifi to help them address both their business and technology needs"
|Roland Jordan, Head of EMEA Sales, Quantifi
Quantifi delivers cross-asset trading, front-to-back operations, position management, market, credit, counterparty and liquidity risk management, margining, and regulatory reporting all on a single integrated real-time PMS/OMS platform. As well as supporting all regulatory and industry practices such as EMIR and MiFID II, Quantifi applies the latest technology innovations to provide new levels of usability, flexibility, and ease of integration. For buy side participants this translates into dramatically lower time to market, lower total cost of ownership and significant improvements in operational efficiency.
“We are delighted to win this award for Best Trading & Risk Management Solution as it is further recognition of our market leading position in the buy-side space. Prominent global investment managers continue to place their trust in Quantifi to help them address both business and technology needs as they replace outdated legacy or in-house tools. Quantifi’s single cross asset solution facilitates greater transparency into their pricing and risk metrics and we continue to work closely with our partners to ensure we evolve and address future needs in this rapidly changing environment” comments Roland Jordan, Head of EMEA Sales, Quantifi.