SOPHIS is a leading provider of cross-asset portfolio and risk management solutions. The company has a global presence with offices around the world. Sophis serves over 5,000 users in 130 market-leading institutions, including investment banks, asset managers, hedge funds and insurance companies with its three solutions, RISQUE, dedicated to the sell-side, and VALUE and iSophis dedicated to the buy-side.
As more stringent risk management controls are demanded by both investors and regulators, Sophis is helping investment organisations to meet these new business requirements. By offering comprehensive portfolio and risk management capabilities within a single solution, we can support firms’ immediate risk management requirements and provide a robust technology platform to support their future growth plans.
VALUE is a cross-asset portfolio and risk management solution dedicated to the buy-side covering the whole STP process: investment management, risk management, middle/back office and accounting. It combines sell-side level financial and technological capabilities with the user-friendliness, connectivity and ease of implementation required by the buy-side. VALUE has been adopted by more than 80 institutions worldwide, from start-up hedge funds to global asset management companies.
iSophis is a powerful technology solution that provides integrated portfolio and risk management services
through a simple ASP model. It is targeted at hedge fund managers who want to benefit from leading edge analytics for P&L, risk and performance measurement in a secure, powerful and simple hosted environment. iSophis is powered by Sophis VALUE.