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Optimized Portfolio Management
optimized Portfolio managementWith the innovative optimized portfolio management solution you can streamline the portfolio construction, optimization, and backtesting functions, while delivering superior risk-adjusted returns on either client portfolios or internal treasury portfolios. The Optimized Portfolio Management solution provides a statistically rigorous software framework to optimize a financial portfolio, using techniques ranging from the classic mean-variance approach to more complex objective functions involving logarithmic returns and coherent risk measures such as expected shortfall.
The Optimized Portfolio Management solution can help your organization gain an edge by providing advanced optimization techniques, a scalable statistical & financial function library that let’s you analyze & study time-series data, backtest your portfolios & generate a variety of performance reports. |
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