Buy-Side Risk Analytics 2013: Quantifi Vendor Highlights

Buy-side firms face a rapidly changing operating environment. They need not only to comply with the regulations, but also to adapt to a new marketplace. The new goal is a performance-oriented trade and risk management execution strategy for asset allocation with a strong focus on stress-testing and scenario analysis.

For buy-side risk management solutions, this means the focus has to be redefined as either:

More data management and analytics-driven to build a foundation of efficient risk

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