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PerTrac teams with FinAnalytica to offer RiskPlus

PerTrac teams with FinAnalytica to offer RiskPlus


PerTrac Financial Solutions, a provider of analytic and workflow solutions, has launched PerTrac RiskPlus, a returns-based risk analysis solution.

The new product is a collaboration with FinAnalytica, a provider of real world portfolio risk solutions for multi-manager funds, hedge funds and asset management firms.

“PerTrac RiskPlus is a breakthrough for hedge fund investors seeking more sophisticated risk monitoring for their portfolios,” says Gerry Mintz, PerTrac president and chief executive officer. “Using state-of-the-art statistics based on fat-tailed distributions, dynamic correlations and multi-factor models, PerTrac RiskPlus sheds light on opaque portfolios at a price far less than more traditional or position-based risk systems. It offers large and small investors tools previously available only with the purchase of a software platform costing almost ten times as much.”

PerTrac RiskPlus examines portfolio risk based on the monthly returns of each fund in the portfolio rather than each fund’s holdings, information which is either unavailable or impractical to acquire from hedge fund managers on a timely basis, and is expensive to analyse.

“Our work with PerTrac will bring advanced risk analysis to a wider market,” says Dave Merrill (pictured), chief executive of FinAnalytica. “RiskPlus puts our sophisticated, academically proven fat-tailed risk modeling into a scalable, easy-to-use tool that provides practical and actionable risk assessment.”

PerTrac RiskPlus is an optional module integrated into the latest version of the PerTrac Analytical Platform application, an investment analysis and asset allocation software.

PerTrac RiskPlus is aimed at funds of funds, pension funds, sovereign wealth funds, endowments, foundations, family offices, and other hedge fund investors.

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