BRITech: Market Value at Risk, Stress Scenarios, Liquidity Risk

Risk Evaluation

Market Value at Risk, Stress Scenarios, Liquidity Risk

With robust rebalancing and compliance monitoring features included, BRITech streamlines and simplifies your entire trade process.

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finance software analytics
  • Asset pricing, strategies and portfolios with allowing for consolidation.
  • Exposure and sensitivity to various risk factors configurable with parametric and non-parametric models
  • Simulation of real-time operations with customizable stress scenarios
  • Automatic consolidation each time an invested fund is changed by the manager
  • Compliance module and limits control

Reports Big Data Analysis

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Benchmarking, Tracking Error and analysis of hundreds of portfolios per minute. Bespoken Reports and Global Data Coverage.

More Features
  • Portal

    You can provide your clients with a modern and easy-to-navigate client portal to access their portfolios, view documents and interact with your advisors.

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  • Billing

    Clients are demanding more clarity and detail on the price of services provided by the adviser. This critical function can become time consuming and error prone.

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  • CRM

    A set of features geared towards strengthening the Sales, Marketing, and Client Support functions.

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  • Portfolio Management

    This is our flexible and straightforward portfolio accounting component.

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  • Trade Order Management

    Clients are demanding more clarity and detail on the price of services provided by the adviser. This critical function can become time consuming and error prone.

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Check out what the best Investment Management Software can do for you

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