MX.3 for banks

MX.3 for investment managers

Regain control of the investment management chain.

Regain control of the investment management chain.

Investors and regulators demand greater transparency and timeliness in reporting. Risk influences decisions at every step of the investment process. Liquidity constraints require proactive management of cash and collateral. Approximation in modeling products and analytics is no longer enough in delivery of best price execution for investors. A diversified product range drives profitability, augmenting fragmentation in the traditional systems landscape and leading to prohibitive costs.

These factors are driving market participants to regain control of the investment management chain and rationalize it around a single data source. MX.3 offers a comprehensive and integrated response, enabling asset managers, insurers, pension funds, hedge funds, sovereign wealth funds and family offices to optimize their operating model and respond to market and regulatory change.

Our clients

MX.3 covers all investment management processes within a single platform. Real-time portfolio management is fully integrated with order management, compliance, risk and collateral management. The platform supports the full operations chain across assets classes and product types for multiples clients.

Asset managers

Asset managers

Asset managers are expanding their value add to counter downward margin pressure. MX.3 is enabling leading players to standardize the business process chain from portfolio optimization to accounting on the one hand, while differentiating their asset coverage with an unrivalled breadth of instruments covering all regional and global markets on the other. MX.3 lowers the processing cost along the chain by eliminating the need for numerous reconciliations between multiple systems and through simplifying connectivity to key market infrastructure.

Pension funds

Pension funds

Larger pension funds have an added incentive to automate manual processes and centralize front-to-back office operations with integrated risk management that has become ever more sophisticated. With a balance sheet-driven investment approach, long-term investors can sharpen their competitive edge with MX.3, whether it be through sophisticated hedging for liability driven investment (LDI) strategies or integrated collateral management, hedge accounting treatment or regulatory reporting.

Insurers

Insurers

While investment yields in low-risk assets have been at historical lows for a sustained period of time, insurers must look for other sources of return, such as private debt or private equity, while keeping investment accounting and enterprise risk management at the heart of the decision process. MX.3 enables insurers to streamline their investment management chain for all investment products in one platform, while embracing cutting-edge enterprise risk management capabilities.

Hedge funds

Hedge funds

Hedge funds are at the cutting edge of financial product innovation driven by a higher risk tolerance. MX.3 enables mid- to large-sized hedge funds to take advantage of a diverse range of derivatives products and strategies in the front office, which are efficiently managed downstream through the middle and back office.

Case studies