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    Investment Intelligence

    Nasdaq Solovis

    Gain instant insight across your entire multi-asset class portfolio and create context fast to drive decision-making. Improve visibility with one dashboard for modeling, analysis, and reporting. Conduct bottom-up portfolio analysis from any angle. Empower users to go from ops to analysis with powerful, easy to-use report writing tools to meet the needs of all constituents.

    Overview

    Streamline portfolio data operations and gain the insights you need to drive portfolio decisions.

    Streamline Portfolio Data Collection & Management

    Expand your team’s capacity, ensure portfolio data accuracy, and gain deeper analysis capabilities by outsourcing your data capture and aggregation. The Nasdaq Solovis Analyst Services offering equips you with an outsourced operational infrastructure to simplify how you obtain, centralize and aggregate all aspects of your portfolio data for review and performance analysis.  

    Explore Nasdaq Solovis Analyst Services ->

    Expand your team’s capacity, ensure portfolio data accuracy, and gain deeper analysis capabilities by outsourcing your data capture and aggregation. The Nasdaq Solovis Analyst Services offering equips you with an outsourced operational infrastructure to simplify how you obtain, centralize and aggregate all aspects of your portfolio data for review and performance analysis.  

    Explore Nasdaq Solovis Analyst Services ->
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    Understand Your Total Portfolio & How It's Performing

    Designed for the unique demands of multi-asset class portfolio management, Nasdaq Solovis eliminates fragmented portfolio views by synthesizing a single platform that empowers you to analyze from all angles. Gain a holistic view of your multi-asset class portfolio and leverage robust analytics and reporting tools to administrative oversight of transactions, audit records and activities. 

    Explore Nasdaq Solovis Portfolio Analytics ->

    Designed for the unique demands of multi-asset class portfolio management, Nasdaq Solovis eliminates fragmented portfolio views by synthesizing a single platform that empowers you to analyze from all angles. Gain a holistic view of your multi-asset class portfolio and leverage robust analytics and reporting tools to administrative oversight of transactions, audit records and activities. 

    Explore Nasdaq Solovis Portfolio Analytics ->

    Mitigate Risk While Maintaining Return Objectives

    Predict performance and assess risk for asset allocation and forecasting.

    Explore Nasdaq Solovis Risk Analytics -> Explore Nasdaq Solovis Predict ->

    Predict performance and assess risk for asset allocation and forecasting.

    Explore Nasdaq Solovis Risk Analytics -> Explore Nasdaq Solovis Predict ->
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    The second I saw a drag and drop recalculation of an entire investment world with total asset class reclassifications and shifts, I knew that Nasdaq Solovis was not the status quo.

    Empower Your Team to go from Operations to Analysis

    Offload the time-intensive work of collecting and aggregating portfolio data from your managers, brokers, custodians, and market data vendors and give your team the time to focus on the analysis you rely on for decision making.  

    Enable Deeper Portfolio Analysis

    Our robust data extraction workflows and tools enable us to gather all the information you need for comprehensive performance and exposure analysis. 

    Gain a Single Source of Truth

    Eliminate fragmented portfolio understanding with a single source of truth for your entire portfolio across all public and private asset classes.  

    Efficiently Report to Stakeholders

    With real-time reports and performance tracking, provide continual and customized communication on all aspects of your portfolio to your investment teams and external stakeholders. 

    Assess Portfolio Risk

    Assess portfolio risk across all asset classes with bottom-up multi-factor risk exposures, historical scenario analysis and market stress testing. 

    Project Impact of Future Decisions

    Evaluate future state investment decisions across all asset classes by projecting investment performance, liquidity and risk.

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