CASE STUDY: The Majid Al Futtaim Trust Family Office
Family offices are increasingly turning to the same analytical tools trusted by the world’s largest financial institutions to identify and monitor the performance and risk of their investments. A wide array of investment options, including specialized and illiquid assets, and the need to manage their portfolios in the face of global volatility while preserving wealth over the long-term, are driving family offices to seek an all-in-one performance and risk management platform that is comprehensive, reliable and secure.
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Offering valuable insight into the priorities and challenges facing prime brokers, broker dealers and clearers, this report is a summary of the discussion during the Margin, Collateral and Data Round Table, sponsored by Imagine Software on Thursday 25th March 2021.
Moving to remote working has created new headaches for hedge funds through the risk of a “single point of failure” in a portfolio manager’s tech setup, according to Lance Smith CEO and co-founder of Imagine Software.
If a firm does not have all of its positions modeled on the same risk platform, it cannot know its total risk. But strong tools and practices can help sell-side and buy-side firms alike to avoid creating dangerous conditions.