Buy-side firms around the globe face new challenges.
Digital advances have resulted in a shift in customer behavior and expectations, while regulatory pressure and an evolving market are having a significant impact on revenue. Managing this complexity requires the right technology. MX.3 for Investment Management provides the buy side with one solution that allows them to manage positions, cash and securities inventory, and risk across asset classes in real-time. Suitable for asset managers, pension funds, hedge funds and insurance companies, it helps streamline the investment process and increase efficiency.
MX.3 is a single platform tailored for the buy side, delivering unrivalled visibility of the full investment life cycle and supporting enterprise risk management and compliance. It also acts as a central golden repository for the business. It gives greater control, visibility and reporting capabilities for portfolios, compliance, market risk, credit risk and collateral management. This Investment Book of Record (IBOR) eliminates the need for data reconciliation across different systems, saving time and reducing the risk of manual error.Download the MX.3 for Investment Management brochure
MX.3 for Investment Management
Our clients have diverse requirements. MX.3 functional coverage meets them.
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