Markit thinkFolio provides an integrated front office portfolio modelling and order management system with coverage across all asset classes, including bonds, equities, money market instruments and their derivatives.
Markit thinkFolio offers extensive features in our platform to enable portfolio review, reporting composition, as well as realtime cash management and compliance support. Our flexible modelling tool allows for portfolio targeting, what-if scenarios and portfolio shocking.
Through our configurable platform, end-users have flexibility in the analysis of portfolio information, whether displayed within the platform or in a report, without the need for programming knowledge. We also enable customers to seamlessly incorporate compliance checks into the trade entry process.
Ease of use
Simple user interface, enabling building and management of portfolio displays without the need for programming knowledge
Customisable portfolio views within the platform or in reports, multiple deal calculators and ability to create new trade compliance rules in the system
Supports connectivity to extensive range of execution management systems, trading networks and venues as well as data vendors and back and middle office systems
Built and automated pre and post trade compliance checks, with workflow tools for breach management
Delivers a single platform for portfolio management, trade generation, cash management and compliance monitoring across asset classes
Increases transparency and improves integration across front, middle and back office