Portfolio visibility, in real time.
Real-time NAV, performance attribution, investor reporting, and risk analytics for asset managers. Automate compliance, accelerate decisions, and fund with confidence.
Five forces reshaping
fund operations.
Modern funds need to report in hours, not days. Explore more about how AI & data engineering powers competitive advantage in finance.
Regulatory complexity keeps rising
SEC, FINRA, and GDPR rules demand audit trails, documentation, and real-time risk reporting. Manual workflows breed compliance violations.
Investor expectations are accelerating
LPs expect daily NAV, performance attribution, and holdings-level transparency. Quarterly reports are now table stakes; real-time dashboards are the moat.
Data silos kill decision speed
If portfolio data, market data, and risk metrics live in separate systems, portfolio managers are always two hours behind. Unified platforms collapse latency.
Performance pressure is absolute
Alpha generation depends on speed and insight. AI-driven analytics and predictive models separate winners from closures.
Operational costs compress margins
Fund administration, reconciliation, and investor reporting consume 30-40% of back-office spend. Automation lifts margin directly to the bottom line.
Ten systems that power
modern fund operations.
Software we ship for hedge funds, PE firms, and asset managers. Each feature compounds with the others. Pair with our AI & analytics practice to unlock predictive insights.
- 01
Real-time portfolio tracking
Live NAV calculation, position-level P&L, and fund performance across all asset classes.
- 02
Investor reporting automation
Generate bespoke reports, statements, and compliance docs in hours instead of days.
- 03
Performance attribution
Decompose returns by security, strategy, and decision — explain the alpha story to LPs.
- 04
Risk analytics dashboard
VaR, stress testing, correlation matrices, and tail-risk alerts in real-time.
- 05
Fee and expense management
Automated fee calculations, expense allocation, and LP payment workflows.
- 06
Compliance and audit trail
Immutable transaction logs, policy adherence checks, and automated regulatory reporting.
- 07
Data connectors for brokers and custodians
Two-way sync with Bloomberg, FactSet, Schwab, Fidelity, and Apex clearing platforms.
- 08
Custom analytics and API
Build custom dashboards and integrate with your risk and quant tools via REST and WebSocket.
- 09
Multi-currency and multi-asset support
Handle equities, fixed income, alternatives, crypto, and FX in a single unified system.
- 10
Investor portal
Self-service LP access to statements, performance, holdings, and cap-table data.
Turning data into actionable
insights.
Fund managers see numbers, not patterns. We embed AI to predict performance, flag risks, and generate narrative commentary — turning data into decision-ready intelligence.
Predictive performance modeling
Forecast portfolio outcomes under different market scenarios and decision paths.
Anomaly detection
Flag unusual trading patterns, concentration risks, or counterparty exposures before they become problems.
Correlation and factor analysis
Uncover hidden factor exposures and correlations — optimize diversification and hedge decisions.
Natural language reporting
Auto-generate narrative performance commentary from quantitative data — reduce portfolio manager admin time.
Investor matching
Use LP profiles and fund characteristics to identify best-fit capital sources and improve fundraising conversion.
Regulatory intelligence
Monitor and adapt to rule changes, flag compliance risks, and auto-generate audit responses.
Built for scale
and reliability.
Real-time processing, sub-second query latency, and 99.99% uptime across distributed infrastructure.
Four fund types that benefit
from real-time operations software.
Explore more fund and finance verticals in our industries directory.
Hedge Funds
Multi-strategy fund operations, investor reporting, and risk oversight.
Private Equity
Portfolio company tracking, LP communication, and deal-level P&L.
Asset Managers
Multi-fund operations, cross-fund analytics, and institutional investor management.
Family Offices
Consolidated portfolio management across multiple asset classes and external managers.
Partner who's already shipped
in asset management.
We've built fund management platforms for multi-billion-dollar firms. Faster to production, fewer compliance gaps, and proven integrations with custodians and brokers.
Real-time decision-making
Portfolio managers see the full picture instantly — faster to rebalance, hedge, and capitalize on opportunities.
Regulatory compliance by default
Automated audit trails, policy enforcement, and reporting eliminate compliance overhead and audit risk.
Investor confidence
Transparent, real-time reporting improves LP retention and makes fundraising conversations easier.
Operational efficiency
Automation cuts fund administration costs by 40-50% — margin lift that flows directly to returns.
Scalable infrastructure
Handle multiple funds, asset classes, and currencies without re-platforming as you grow.
Data ownership and security
Your data stays yours. SOC 2 Type II, GDPR-aligned, encrypted at rest and in transit.
From discovery to production
in three phases.
One discovery call, a custodian audit, and a working POC in four weeks. Explore our delivery methodology.
We audit your fund structure, investor base, custodian connections, and compliance requirements — and identify the highest-leverage automation opportunities.
Live data ingestion from your custodian, real-time NAV calculation, and investor reporting running on sample data — all in four weeks.
Full deployment, historical data backfill, LP portal launch, and staff training. Observable outcomes from day one.
Answers for fund managers.
01How do you handle data privacy for investor information?
02Can you integrate with our existing custodian and prime broker?
03How quickly can we go live?
04What about historical performance data and fund inception?
05Do you support alternative asset classes like real estate and private equity?
06How do you handle multi-strategy and multi-fund analytics?
Let's build your fund OS.
One discovery call, a custodian audit, and a working prototype in four weeks. From there, full production delivery with zero data loss.