Average Ratings 0 Ratings
Average Ratings 0 Ratings
Description
PSS has released an innovative software package known as PSS Release 2.0: Digital Portfolio Theory, which stands at the forefront of portfolio selection technology. This cutting-edge software empowers investors to effectively navigate market timing and achieve optimal diversification by leveraging digital signal processing techniques in conjunction with the foundational principles of Modern Portfolio Theory. By integrating the mathematics of digital signal processing within financial network theory, PSS introduces a groundbreaking methodology for managing risk and selecting portfolios. Furthermore, by incorporating a time dimension into risk assessment, the software allows for the inclusion of memory within investment models. Users of the PSS package can identify optimally diversified investment portfolios while accounting for various types of risks, including systematic, unsystematic, calendar, and non-calendar risks. Beyond being the most advanced large-scale portfolio optimization tool available, PSS also facilitates fundamental analysis, though it refrains from engaging in any form of technical analysis or forecasting. This unique combination of features positions PSS as a pivotal resource for investors seeking to enhance their portfolio strategies.
Description
The Soborro Portfolio Risk Profiler serves as an online tool designed for evaluating the potential behavior of investment portfolios in various economic and market climates. By allowing users to establish a portfolio and select long-term economic scenarios, the platform enables them to analyze projected outcomes across different scenario paths. The results reveal possible gains and losses, assisting users in understanding how their portfolio's exposure to equities, interest rates, inflation, credit, and other modeled factors influence overall risk. This analysis is particularly beneficial for asset managers, investment researchers, and professionals who advise pension funds and insurance companies, as they can utilize it to compare different allocations, validate investment assumptions, facilitate portfolio construction, and evaluate risk over extended time frames. Furthermore, the scenario outcomes aid in both investment research and client assessments, providing valuable insights. Offered as a cloud-based service, the Portfolio Risk Profiler is accessible through a subscription model that enhances its usability for a wide range of financial professionals.
API Access
Has API
No
API Access
Has API
No
Screenshots View All
No images available
Integrations
No details available.
Integrations
No details available.
Pricing Details
No price information available.
Free Trial
No
Free Version
No
Pricing Details
$199/month
Standard subscription: $199 per month.
Free Trial
No
Free Version
No
Deployment
Web-Based
Yes
On-Premises
No
iPhone App
No
iPad App
No
Android App
No
Windows
No
Mac
No
Linux
No
Chromebook
No
Deployment
Web-Based
Yes
On-Premises
No
iPhone App
No
iPad App
No
Android App
No
Windows
No
Mac
No
Linux
No
Chromebook
No
Customer Support
Business Hours
No
Live Rep (24/7)
No
Online Support
Yes
Customer Support
Business Hours
No
Live Rep (24/7)
No
Online Support
No
Types of Training
Training Docs
No
Webinars
No
Live Training (Online)
No
In Person
No
Types of Training
Training Docs
No
Webinars
No
Live Training (Online)
No
In Person
No
Vendor Details
Company Name
PSS
Country
United States
Website
www.portfolionetworks.com
Vendor Details
Company Name
Soborro Research
Founded
2020
Country
United Kingdom
Website
www.soborro.com/products/risk-profiler
Product Features
Financial Risk Management
Compliance Management
No
Credit Risk Management
No
For Hedge Funds
Yes
Liquidity Analysis
No
Loan Portfolio Management
No
Market Risk Management
No
Operational Risk Management
No
Portfolio Management
Yes
Portfolio Modeling
No
Risk Analytics Benchmarks
Yes
Stress Tests
No
Value At Risk Calculation
No
Product Features
Financial Risk Management
Compliance Management
No
Credit Risk Management
No
For Hedge Funds
No
Liquidity Analysis
No
Loan Portfolio Management
No
Market Risk Management
No
Operational Risk Management
No
Portfolio Management
No
Portfolio Modeling
No
Risk Analytics Benchmarks
No
Stress Tests
No
Value At Risk Calculation
No
Alternatives
Alternatives
No Alternatives