Portfolio Management Solution
    Quantifi
    Portfolio Management Solution
    OVERVIEW

    Cross-asset trading, front-to-back operations, position and risk management and regulatory reporting is all on a single, integrated, real-time platform.

    Investment management firms by nature need to respond rapidly to market shifts to minimise risk and take advantage of new opportunities presented by market and regulatory change. Quantifi’s Portfolio Management System (PMS) addresses these changes with an integrated platform that breaks down barriers between front, middle and back office functions. We provide comprehensive cross-asset support for all major asset classes including credit, fixed income, money markets, equities, FX, rates and commodities.