!barra portfolio manager fact sheet - april 2014

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Product kit on the !Barra Portfolio Manager Platform.

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  • Key Features Attribution Choose from traditional (Brinson), factor-based, or

    hybrid approaches to understand and decompose the sources of portfolio risk and return.

    Custom Factor Attribution Leverage MSCIs methodology for decomposing risk. For example, you can use your own industry classifications or incorporate other custom data to make risk attribution customized to their unique investment process.

    Scenario and What-if Analysis Simultaneously evaluate point-in-time and time-series risk, return, and style exposures, other portfolio characteristics, asset-level details, and multiple trading scenarios using multiple risk models, dates, and portfolios.

    Portfolio Construction Build portfolios that achieve an optimal combination of predicted risk and return, subject to constraints and investment objectives, using the Barra Optimizer. The Barra Optimizer is developed by MSCIs optimization research team and enables the implementation of complex strategies with various utilities, constraints, and targets. Efficiently rebalance or construct a large number of portfolios in a single rebalance cycle.

    Strategy Research and Development Create and simulate investment strategies using market and third-party attributes and

    data. Dynamically change constraints or objectives to adapt to

    different market conditions or business cycles. Monitor exposures, summary statistics, and performance results in real time.

    Custom Data Use the Formula Builder to create and refine alphas, generate custom data and attributes for risk reports and portfolio optimization, or incorporate portfolio-level statistics.

    Group-by Analysis Align portfolios with your investment process by aggregating, analyzing, and reporting portfolio characteristics across multiple dimensions using MSCI-supplied and third-party attributes, like industry and sector classifications, Economic Exposure, and fundamental data.

    Reporting Manage a complete end-to-end workflow that includes setup, monitoring, exception handling, and extraction of single or multiple reports with an easy-to-use interface. Automate the reporting process for point-in-time asset-level and portfolio-level details, and extract data quickly and easily into either CSV or customized PDF for use across the broader investment management organization.

    Alternative Investments Full coverage of oil, gold, FX forwards, equity options, or short-term fixed income cash equivalents. Includes support for reporting, backtesting, and attribution for complex portfolios.

    Barra Portfolio Manager is designed for research, reporting, strategy development, portfolio construction, and performance and risk attribution. The flexible and customizable user interface allows for sharing strategies, analytics, and reports within your organization and with clients. Using proprietary content as well as third-party data, Barra Portfolio Manager can help clients make faster, more informed investment decisions.

    Barra Portfolio ManagerA hosted portfolio management platform

    Automated High Volume Reporting

    Custom Factor Attribution

    Enhanced user interface

    Barra Optimizer 2.1 integration

    Various enhancements and fixesNew in this Release

    Barra Portfolio Manager provides multiple views of your portfolio or the market

  • msci.com | [email protected]

    Technology HighlightsBarra Portfolio Manager is a secure hosted platform independently verified to protect client data, through SSAE-16 and ISAE-3402 audits. It is built on the same technology platform as BarraOne.

    System Requirements

    High-speed Internet connection allowing 128-bit encryption over SSL

    Java Runtime Environment installed (v. 1.6_0_20 or higher recommended)

    Windows XP or higher Network Requirements

    Java Runtime configured for Internet connectivity

    Secure HTTP communication over port 443

    Installation

    Accessible from any Internet-enabled computer

    Automatic upgrades ensure the latest features of Barra Portfolio Manager are available

    Your organization can reduce, and in some cases eliminate, the time and cost spent managing technology and data.

    Find out more about Barra Portfolio Manager and how it can add value to your investment process.

    Key BenefitsBarra Portfolio Manager provides multiple views of your portfolio or the market and has a flexible and customizable user interface that lets you tailor, define, and share personalized workspaces. As a user, you can benefit from a broad range of multi-asset class risk and performance analytics.

    Barra Portfolio Manager can help you make better investment decisions and build better portfolios.

    Improve Analysis and Communication of Portfolio Information Advanced charting capabilities improve information sharing across your organization and with your clients.

    Identify and Control Sources of Risk Isolate industry, style, market, and other sources of risk to see which policies are the largest contributors to your portfolios risk and return.

    Reduce Unintentional Bets Integrate the market-leading Barra risk models for a clear view of risk within a portfolio.

    Construct and Optimize Portfolios Build efficient portfolios to meet your investment objectives.

    Conduct Performance Attribution Evaluate performance in meaningful detail using a range of popular and proprietary attribution methodologies.

    Compare Predicted and Realized Risk and Return Understand how the profile of a portfolio has changed over time and the impact on realized risk and performance.

    User Interface Interact with the application in a meaningful and intuitive way with an enhanced user interface that supports multiple monitors and varying monitor resolutions.

    Gain Control and Scale Monitor, control, and improve your workflow by using a range of views and workspaces.

    24x5 Support A highly trained Client Service team is ready to provide product and analytics expertise before, during, and after your trading hours.

    Contact us now

    MSCI Inc. is a leading provider of investment decision support tools to investors globally, including asset managers, banks, hedge funds and pension funds. MSCI products and services include indexes, portfolio risk and performance analytics, and governance tools.

    The companys flagship product offerings are: the MSCI indexes with approximately USD 8 trillion estimated to be benchmarked to them on a worldwide basis1; Barra multi-asset class factor models, portfolio risk and performance analytics; RiskMetrics multi-asset class market and credit risk analytics; IPD real estate information, indexes and analytics; MSCI ESG (environmental, social and governance) Research screening, analysis and ratings; ISS corporate governance research, data and outsourced proxy voting and reporting services; and FEA valuation models and risk management software for the energy and commodities markets. MSCI is headquartered in New York, with research and commercial offices around the world.The information contained herein (the Information) may not be reproduced or redisseminated in whole or in part without prior written permission from MSCI. The Information may not be used to verify or correct other data, to create indexes, risk models, or analytics, or in connection with issuing, offering, sponsoring, managing or marketing any securities, portfolios, financial products or other investment vehicles. Historical data and analysis should not be taken as an indication or guarantee of any future performance, analysis, forecast or prediction. None of the Information or MSCI index or other product or service constitutes an offer to buy or sell, or a promotion or recommendation of, any security, financial instrument or product or trading strategy. Further, none of the Information or any MSCI index is intended to constitute investment advice or a recommendation to make (or refrain from making) any kind of investment decision and may not be relied on as such. The Information is provided as is and the user of the Information assumes the entire risk of any use it may make or permit to be made of the Information. NONE OF MSCI INC. OR ANY OF ITS SUBSIDIARIES OR ITS OR THEIR DIRECT OR INDIRECT SUPPLIERS OR ANY THIRD PARTY INVOLVED IN THE MAKING OR COMPILING OF THE INFORMATION (EACH, AN MSCI PARTY) MAKES ANY WARRANTIES OR REPRESENTATIONS AND, TO THE MAXIMUM EXTENT PERMITTED BY LAW, EACH MSCI PARTY HEREBY EXPRESSLY DISCLAIMS ALL IMPLIEDWARRANTIES, INCLUDING WARRANTIES OF MERCHANTABILITY AND FITNESS FOR A PARTICULAR PURPOSE. WITHOUT LIMITING ANY OF THE FOREGOING AND TO THE MAXIMUM EXTENT PERMITTED BY LAW, IN NO EVENT SHALL ANY OF THE MSCIPARTIES HAVE ANY LIABILITY REGARDING ANY OF THE INFORMATION FOR ANY DIRECT, INDIRECT, SPECIAL, PUNITIVE, CONSEQUENTIAL (INCLUDING LOST PROFITS) OR ANY OTHER DAMAGES EVEN IF NOTIFIED OF THE POSSIBILITY OF SUCH DAMAGES. The foregoing shall not exclude or limit any liability that may not by applicable law be excluded or limited.

    1 As of September 30, 2013, as reported on January 31, 2014 by eVestment, Lipper and Bloomberg.

    April 2014 2014 MSCI Inc. All rights reserved.

    About MSCI