Portfolio and Risk Analytics Resource Center

Charles River Portfolio and Risk Analytics provides critical insight into investment risks, opportunities and performance for institutional asset managers. It combines all of the necessary capabilities, data, analytics and benchmarks portfolio managers need to construct and manage large multi-asset portfolios on one platform.

Industry experts explore the role technology plays helping firms manage multi-asset portfolios and support new investment products.

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“Charles River Investment Solution allows us to streamline our investment process, from portfolio analytics through to execution and settlement.”

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Consolidated Risk, Analytics, and Performance Attribution

A complete set of capabilities, from a centralized workspace, to streamline the investment process. It helps asset managers understand risks and counter party exposure more quickly, and respond faster to market opportunities.

Looking for a unified Portfolio & Risk Analytics solution?

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