Compliance Applications
Compliance
Portfolio constraints, whether they be client driven or internal risk policies, can be more easily and effectively managed when they are seamlessly integrated in the investment process using the Spotfire platform.
An increasingly strict regulatory environment has encouraged Chief Compliance Officers to have a more formalized oversight role in the day to day operations of asset managers. Reporting requirements and data volumes have increased at a disproportional rate compared with resources, time and tools that chief compliance officers or risk managers have at their disposal. The Spotfire platform levels the playing field by letting non-data experts gain valuable insights into the data without the need for advanced statistical or data mining knowledge.
Traditional compliance checks, such as SEC regulations, internal risk limits, prospectus guidelines, and client risk policies can be seamlessly integrated with portfolio and market data and simultaneously monitored by decision makers who can take action more quickly.
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