Hedgefacts Integrated Solution
HedgeFacts software applications and professional services satisfy the needs of a variety of alternative investment firm types from hedge funds to asset allocators across a range of functional requirements including back office, accounting, reconciliation and risk. HedgeFacts products run on a mission critical cloud infrastructure, utilizing a high level of straight-through processing (STP) and automation, and are fully integrated providing unparalled ease of use supported by the highest quality data.
HedgeFacts Core is the central hub from which you manage and control all of your alternative investment products, operate your books and records, and generate and schedule reports.
An integral part of the HedgeFacts suite of applications, the HedgeFacts Workstation provides essential middle office functions such as trade blotter/capture, order allocation, trade and position reconciliation.
Evaluate performance and manage risk using multiple methods such as Value at Risk, Stress Scenarios, Drill-down Attribution, and Performance Time Series Analysis across any fund, managed account, investor, and trader/strategy.
Instantly review both performance and exposure across an array of accounts, traders, or aggregated groups of traders in a totally flexible and customizable interface. A drill-down pivot table style interface lets you monitor exposure at the sector, product or instrument level.
Customizable portal solutions built for the alternative investment industry that help you automate and manage all of your data, then deliver cutting edge analysis to your clients. Built on HedgeFacts fully automated, highly scalable, and secure Business Logic Server.
HEDGEFACTS BUSINESS LOGIC SERVER
Automated straight through processing of trade and accounting data, layered with a comprehensive API serving accounting, performance, position, and risk data to standard or custom applications, all delivered as a secure hosted cloud solution.
MONTHLY PERFORMANCE & SHADOW ACCOUNTING
HedgeFacts experienced team, rigorous procedures, automated checks and reconciliations, ensure you have utmost confidence in the performance you present to investors or use to drive your analysis.