Sharper Insights, Better Decisions: Evolving Risk and Performance Analytics for Multi-Asset Investing
What if you had been able to streamline your risk and performance analysis to gain faster insights, without disrupting your existing infrastructure?
In the face of volatile markets earlier this year, that kind of speed and clarity was not just a luxury—it was essential. Investment and risk teams faced mounting pressure to deliver consistent results, pushing the need for advanced analytics and tighter cross-functional collaboration.
In our recent, insight-packed webinar, we explored how top-performing investment teams streamlined workflows, increased transparency, and enhanced decision-making through integrated risk and performance analytics.
Using real-world examples—especially from the volatility witnessed in April—we demonstrated how MSCI’s rapid, in-depth analysis, powered by factor models and security analytics, brought much-needed clarity to both risk and performance.


