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WHAT EVERY MULTI-ASSET CLASS MANAGER MUST HAVE

See how top investment firms are managing multi-asset class strategies

Focus_Seeking Intelligence for Portfolio Analytics and RiskAite Group surveyed over 100 asset management firms, with assets under management ranging from $500 million to $750 billion, to determine the top market demands and challenges facing buy- and sell-side firms in relation to portfolio management, risk analytics, and investment research.

Here's some of what our survey revealed about the challenges of multi-asset class investment strategies:

  • 77% of portfolio managers feel that it is challenging to generate alpha
  • 59% of risk managers said the absence of technology support is a key problem
  • 73% of risk managers cite a lack of integration between simulation systems with risk-factor models and risk reporting as a major obstacle to effectively managing market risk
  • 52% of portfolio managers said updated technologies or a better understanding of available technologies would help improve their investment decision making

To see how portfolio and risk managers are effectively meeting these challenges and adapting for other key investment trends, download this 20-page eBook created in partnership with Aite Group: Focus: Seeking Intelligence for Portfolio Analytics + Risk.

Download the eBook