PEARL - Performance Measurement and Attribution

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Overview

PEARL enhances your performance by helping you master the complexity of investment decision making

PEARL is our acclaimed performance measurement & attribution solution for Pension Funds, Insurance Companies, Sovereign Wealth Funds, and Asset managers. With its extensive range of performance measures and attribution models for all asset classes, PEARL provides you with valuable insights and improves your investment decision process. PEARL comes with an intuitive automated workflow support and can be seamlessly implemented into every environment. Our highly skilled team offers excellent support along the way.

PEARL 8 - the next generation of the acclaimed PEARL software

We have released PEARL 8, the latest version of our leading single-platform solution for investment performance measurement, attribution, ex-post risk and GIPS composites.

Key Features

Data Management

Efficiently manage high volumes of data using PEARL’s extensive data management tooling.

Analysis

PEARL offers a wide range of attribution models, suited to deal with both single- and multi-asset class portfolios.

Reporting

Flexible self-service reporting via the PEARL Web Portal, and APIs for easy integration with 3rd party reporting tools.

Key Benefits

PEARL is functional, flexible, and fast; an effortlessly scalable solution delivering a wide variety of return measures, attribution models, and risk statistics. You can acquire this unique product through licensing the PEARL software, which can be hosted by Ortec Finance or through our Investment Performance Service (IPS).

Product/Service details

SOLUTION OR SERVICE TYPE
Geographic Availability
Asia-Pacific, Caribbean, Central America, Europe, Middle East, North America, South America
Asset Class Coverage
Bonds, Commodities & Energy, Equities, Exchange Traded Derivatives, Foreign Exchange (FX), Funds, Money Markets, Structured Products