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The fund of hedge funds market has long been a manually intensive one. New regulations and strategies—and a general desire to survive—have led to a...
Waters | Feature | Buy-Side Operations | 28 Mar 2012
MainFirst Asset Management, a traditional asset manager headquartered in Frankfurt, with approximately €1.2 billion ($1.7 billion) under management, implemented Advent’s Advent Portfolio Exchange (APX) and Advent Moxy, the vendor’s order management...
Waters | Feature | Buy-Side Operations | 06 Sep 2011
Anthony Malakian recently caught up with Majedie Asset Management's Simon Hazlitt and discovers a buy-side firm that, to all intents and purposes, resides in the cloud.
Paris-based Linedata Systems has enjoyed a successful first six months of 2011—it has added 11 new hedge funds to its buy-side client roster and completed a number of implementations at existing user firms. London-based Tiburon Partners, a Linedata...
Waters | Feature | Buy-Side Operations | 06 Jul 2011
With the weight of $237 billion under management, when the California Public Employees Retirement System (CalPERS) speaks, people listen. Its officials’ remarks and statements concerning industries or companies in which it has significant investments...
Waters | Feature | Portfolio Management | 06 Jul 2011
In September last year, John Legrand, Eagle Investment Systems’ head of EMEA and Asia-Pacific operations, relocated from London to Singapore in a move meant to elevate the vendor’s profile and enhance its service offering in the region. But that wasn’t...
Waters | Feature | Buy-Side Operations | 28 Feb 2011
Forget Fred and Ginger, Lennon and McCartney, Batman and Robin. Risk and performance reporting is the new dynamic duo. Like most of the great double acts in history, the pair have overcome adversity in their rise to the top—as little five years ago,...
Waters | Feature | Performance and Attribution | 28 Feb 2011
Anthony Malakian catches up with BNY Mellon Asset Management's Alan Goldstein and discovers an ex-paramedic behind his CIO's facade.
Client reporting has, since the credit crunch, emerged as one of the buy side's most crucial business processes as investors seek greater levels of transparency into their asset managers' services
Waters | Feature | Performance and Attribution | 05 Nov 2010
The need for greater communications and integration between front-, middle- and back-office platforms on the buy side preceded recent economic events, but the credit crisis helped to crystallize how acute that need had really become for managers. This...
Waters | Feature | Performance and Attribution | 14 Jun 2010
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New regulations such as Basel III are changing trading and risk practices by rewarding banks that actively manage their risk exposure at an enterprise...
Supporting multiple securities identifiers imposes an operational burden that adds cost and latency to critical trading processes. Bloomberg’s recently...