Asset Managers

SOLUTIONS FOR ASSET MANAGERS

Solutions for asset managers

Asset managers face increasing pressures to manage regulatory and market risk, while fulfilling the role of fiduciary. The challenge, particularly for asset managers with global reach, is navigating a wide-ranging regulatory environment.

A leader in regulatory compliance, risk reporting and analytics for asset managers, MSCI offers award-winning analytics and tools needed to help manage risk and improve transparency and reporting requirements that, in many cases, vary by jurisdiction and asset class.


AIFMD

PRIIPS

SEC Rule 22e-4

Form N-PORT

UCITS

SOLVENCY II

Market Liquidity Risk Product of the year

Market Liquidity Risk Product of the year

MSCI’s LiquidityMetrics is recognized for the second time as the leading liquidity risk measurement framework.

Getting ready for liquidity risk management rules

Getting ready for liquidity risk management rules

MSCI's Carlo Acerbi and IHS Markit's Dan Huscher discuss the latest developments in the SEC rule and how investors can prepare for its implementation.

Risk Capital Calculation Product of the Year

Risk Capital Calculation Product of the Year

MSCI’s innovative solution for Fundamental Review of the Trading Book (FRTB) wins Risk.net award.

Regulation