Best PureFunds Alternatives in 2026
Find the top alternatives to PureFunds currently available. Compare ratings, reviews, pricing, and features of PureFunds alternatives in 2026. Slashdot lists the best PureFunds alternatives on the market that offer competing products that are similar to PureFunds. Sort through PureFunds alternatives below to make the best choice for your needs
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Dynamo Software
Dynamo Software
68 RatingsUnlock precision and clarity in alternative investments with Dynamo Software, a cloud-native, AI-powered platform that unifies your entire workflow. We provide a single, configurable solution for your front-, middle-, and back-office needs. For General Partners (GPs), Dynamo enhances every stage of the investment lifecycle with advanced CRM, deal pipeline tracking, fundraising tools, and secure investor relations and fund accounting reporting. For Limited Partners (LPs), our platform delivers real-time research and portfolio management capabilities. We automate document ingestion, data extraction, and holdings enrichment, providing deep exposure analytics for informed decision-making. Dynamo serves a wide range of private capital firms, including private equity, venture capital, real estate, hedge funds, and infrastructure. Our platform is also tailored for endowments, pensions, foundations, family offices, fund of funds, and fund administrators. By centralizing all investment data into a single source of truth, we equip your team with the control needed to uncover powerful insights. Our AI-driven system automates data ingestion and tagging, while our HoldingsInsight feature enriches portfolio data for advanced analysis. All modules work together seamlessly, supported by a dedicated Client Services team committed to your success. With Dynamo, you can streamline operations, improve data accuracy, and drive strategic decisions with confidence. -
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FundCount
FundCount Americas
$500FundCount is an analytical and partnership accounting software that tracks, analyses and reports on complex investments. FundCount is suitable for fund administrators, family offices and hedge funds as well as private equity firms. It features an integrated multicurrency general leadger and automated workflow tools that bring greater efficiency to day-to-day processes. It also includes flexible, easy-to-use reporting tools that allow firms to quickly create and deliver customized reports to meet each client's specific requirements. Hedgeweek voted FundCount the Best Fund Accounting and Reporting System Firm. -
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AlternativeSoft
AlternativeSoft
5 RatingsSince its establishment in 2005, AlternativeSoft has streamlined the process of fund selection and portfolio construction for institutional investors. Our alternative investment analytics platform is designed to empower users, creating a personalized investment universe guided by cutting-edge analytics. Data integration is effortless, with compatibility from Bloomberg, Morningstar, Albourne, HFR, EurekaHedge, withintelligence, Preqin and Refinitiv. Users can quickly: - Navigate manager risk/return with over 3000 statistics on funds - Define your funds' investible universe with powerful screening solutions - Track and analyse fund exposures - Construct, optimise and manage portfolios - Perform due diligence on hedge funds - Reporting on funds with powerBI or Excel API - 500'000 mutual funds, 30'000 hedge funds, 5'000 raising private equity funds and determine which ones are the best With a total combined AuM over $1.5tn worldwide, some of the world’s largest pension funds, fund of funds, family offices, private banks, endowments, foundations, wealth managers and advisers trust AlternativeSoft to identify and analyse multi-asset class portfolios of hedge funds, mutual funds and private equity funds. -
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PFS-Paxus
Pacific Fund Systems
PFS-PAXUS is a dedicated fund accounting and administration platform favored by fund managers of both alternative and traditional investment portfolios worldwide. As a well-established leader in its field, PFS-PAXUS provides fund administrators with a comprehensive back-office solution that encompasses fund accounting, portfolio valuation, pricing, and shareholder record-keeping, all within a single, seamlessly integrated system tailored to meet the complex requirements of advanced fund administration. This innovative system stands out because it consolidates various functions that are typically spread across multiple platforms, such as securities management, allocation processes, general ledger maintenance, fee calculations, share registry, investor communication, and web portal management. Recognized with awards for its excellence, PFS-PAXUS is designed to accommodate wholesale fund administration and supports the management of a diverse range of both open and closed-ended traditional and alternative funds, including hedge funds and private equity investments. Its ability to streamline operations makes it an invaluable tool for administrators looking to enhance efficiency and accuracy in their fund management processes. -
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Allvue
Allvue Systems
Allvue Systems is a global leader in AI-driven alternative investment management software, designed to optimize fund operations and accelerate business growth. Its end-to-end solutions support every phase of the investment lifecycle—from fundraising and portfolio management to investor reporting and compliance. Powered by the Allvue Agentic AI Platform, the software embeds intelligence and automation into critical workflows, helping fund managers focus on strategy rather than administration. Whether managing private equity, venture capital, private credit, or CLO portfolios, Allvue delivers accuracy, scalability, and insight through one integrated ecosystem. The platform’s cloud-based design ensures seamless updates, continuous performance optimization, and enterprise-grade security. With deep industry input from 500+ global clients, Allvue has evolved into a multi-asset system of record that centralizes data and enables better collaboration. Its partnerships with consultants, fund administrators, and technology providers expand its capabilities for specialized needs. By combining AI innovation, compliance strength, and financial expertise, Allvue enables firms to operate more intelligently, efficiently, and profitably. -
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PortfolioShop
PortfolioShop
$1500/month Cloud based, integrated, customized, simplified solution for Asset Managers, Asset Owners and Service Providers. -
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Atominvest Software
Atominvest
Atominvest offers next-generation technology solutions for Alternatives investment managers. Atominvest's integrated tech solutions are flexible enough to fit your business. They can help you source deals, raise funds, manage investor relationships, and monitor your portfolio. Our cutting-edge tech systems allow Alternatives fund managers manage their investments and investor base efficiently using one software solution. The software allows fund managers to streamline their investor journeys, including onboarding, fundraising, and client reporting, and it provides functionality and workflows. -
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Sustainable Platform
Sustainable Platform
Investment management software designed for fund managers enables the evaluation and creation of genuinely sustainable investment portfolios. It provides insights on Sustainable Development Goals and Climate Alignment applicable to individual companies and overall portfolios, assisting Chief Investment Officers and institutional investors in benchmarking, peer analysis, and identifying new investment avenues while effectively communicating findings to clients. This tool is utilized by quantitative funds, global equity firms, micro-equity investors, rating agencies, and research organizations to enhance their alignment with critical ESG and SDG metrics, facilitating a more intuitive approach that meets fiduciary responsibilities and supports portfolio construction, performance assessment, and comprehensive reporting. Ultimately, the software serves as a bridge between sustainability goals and informed investment decision-making. -
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Twenty-First Century Hedge Fund Software
Twenty-First Century
$1,795 per monthHedge Fund Software is designed to manage the distribution allocations for investors, prepare tax return schedule K-1s, issue distribution checks, calculate broker commissions, and generate management reports. It also handles the allocation of management fees and partnership expenses among investors. Additionally, it offers the option to create customized, professional-grade color investor statements that feature the partnership's logo, name, address, and contact information. Users can apply tailored allocation formulas that take into account guaranteed returns, high watermarks, and other incentive components. The latest Windows version operates seamlessly on an office computer network, providing remote access through the internet for added convenience. Furthermore, the Fund Investment Tracker Software monitors hedge fund portfolios across various assets, including stocks, bonds, and commodities. Its spreadsheet layout enables fund managers to swiftly assess the status of their investments, displaying key details such as symbol, description, quantity, total cost, average cost, current price, market value, and gain or loss percentage, ensuring they have a comprehensive overview of their financial performance at a glance. This integration of features simplifies the management process, allowing for more efficient decision-making and reporting. -
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Deep Pool
Deep Pool Financial Solutions
Streamline your essential business operations with a comprehensive platform designed for investor servicing tailored to fund administrators and investment managers. Global administrators and managers of both offshore and onshore hedge funds, private equity structures, real estate investments, and retail funds rely on ManTra to enhance their business management and expansion. NTAS offers sophisticated investor servicing specifically for fund administrators and managers, delivering improved operational efficiency, superior client service, and robust transparency and security. PENTAS provides a complete automation solution for the investor lifecycle, catering to both traditional and hybrid private equity funds, allowing you to optimize every facet of the limited partner investment cycle for unmatched efficiency, oversight, transparency, and service. KURE facilitates the automation and streamlining of your AML compliance along with FATCA/CRS reporting through a thorough regulatory framework, ensuring that your compliance processes are both efficient and reliable. Embrace these innovative solutions to elevate your business's operational standards and meet the evolving demands of the financial landscape. -
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Eze Investor Accounting
Eze Software
$1667.00/month/ user Transition from dependence on spreadsheets and effortlessly oversee every element of back-office fund accounting using Eze Investor Accounting. This specialized software, formerly known as Penny, is crafted specifically for hedge funds, fund administrators, private equity firms, and wealth management professionals, providing a dependable solution for their accounting needs. Eze Investor Accounting simplifies the complexities involved in calculating intricate management and performance fee structures, streamlining tax processing, and generating investor statements alongside monthly performance reports, ensuring that users can manage their tasks with remarkable ease. With its intuitive design and robust functionality, Eze Investor Accounting empowers financial professionals to enhance their operational efficiency and focus on strategic growth. -
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Liquidity Calendar
Liquidity Calendar
$199.00/month Liquidity Calendar serves as a digital solution tailored for hedge fund managers and investors to proficiently oversee hedge fund liquidity, along with redemption terms and requests. This platform simplifies the process of monitoring lock-up periods, computing redemption timelines and amounts, and creating reports effortlessly. Users can avoid the cumbersome and often mistake-laden process of manually compiling terms and dates that typically involves Excel spreadsheets. Ultimately, Liquidity Calendar streamlines operations, allowing users to focus on strategic decision-making rather than administrative tasks. -
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FundsTOTAL
Unilogic
FundsTOTAL, a cutting-edge SaaS suite, provides real-time trade capture and portfolio management, risk analysis, risk attribution, performance attribution, investor communication solutions, and other services to hedge fund managers. FundsTOTAL takes the hassle out of maintaining and developing a sophisticated technology infrastructure internally. This allows our clients to concentrate on what they do best: managing investors' money. Fund managers can provide institutional investors with the required levels of portfolio transparency through a highly secure portfolio analysis portal. This provides crypto traders and hedge funds with a consolidated portfolio view that includes cryptocurrencies traded on multiple cryptocurrency exchanges. FundsTOTAL allows you to stay on top of rapidly changing markets through real-time monitoring and analysis of portfolios. You can easily visualize and compare any portfolio attribute using dynamically generated real-time charts. -
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HedgeTek
Fi-Tek
Managing investor accounting for partners and shareholders is inherently complex due to the various investment classes, liquidity fees, and necessary reporting requirements. Utilizing spreadsheets for this purpose can lead to increased difficulty and a higher likelihood of errors. HedgeTek® is designed to meet the sophisticated demands of investor accounting. It monitors investor accounts, computes numerous fees across diverse structures such as Master Feeders, and provides statements reflecting performance at both the partner and fund levels for monetized, unitized, and private equity funds. The seamless integration feature of HedgeTek allows for efficient data transfer between systems, significantly reducing the need for manual data entry and enhancing operational efficiency throughout the back-office fund accounting process. Additionally, HedgeTek offers a dual book and tax allocation system that enables investment firms to create personalized investor statements and tax reports. The development of HedgeTek has been an ongoing process, with adaptations and improvements being made continuously to meet evolving industry needs. As a result, HedgeTek positions itself as a crucial tool for investment firms aiming to streamline their accounting practices. -
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Hedge Fund Solution
Global Fund Solutions
At Global Fund Solutions, we recognize the distinct needs and aspirations of our Hedge Fund clientele. After dedicating more than three years to research and development and collaborating with fund managers through ongoing beta testing, we have designed a solution that allows fund managers to concentrate on what truly matters—their clients. On one side, users can efficiently oversee client information and allocations, while on the other, they can handle intricate tracking of various investment securities and strategies. In the current global landscape, the significance of mobility and accessibility is paramount in the financial sector. With Global Fund Solutions, users can securely retrieve data whether they are in the office or traveling. Regardless of whether you manage a small fund or oversee assets exceeding $500M, our services have demonstrated value for clients of all sizes. We encourage you to explore our offerings further. Additionally, the Transfer Agency module serves as a comprehensive tool for managing detailed partner-specific information, enhancing operational efficiency even more. -
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Vestlane
Vestlane
Vestlane provides an innovative platform designed for fund managers, investors, and service providers who are seeking to eliminate manual processes, minimize errors, and save valuable time. Our solution supports funds in various areas including digital fundraising, investor onboarding, fund marketing, and operational management. With our user-friendly platform, investor onboarding becomes a straightforward process, enabling funds to engage with investors through a smooth and compliant interface. Experience the convenience of automated KYC/AML checks, gain valuable insights into your fundraising pipeline for effective monitoring of fund progress, and facilitate secure collaboration with investors through robust data management. Additionally, keep track of payments, streamline capital calls, and leverage auto-matching features to ensure reliable and secure financial management while enhancing overall operational efficiency. This comprehensive approach empowers funds to focus on growth and relationship-building with their investors. -
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Anduin Fund Subscription
Anduin Transactions
Anduin is transforming the landscape of fund management by implementing digitized fund subscriptions, offering real-time status updates, and enhancing the efficiency of fund operations. Our user-friendly investor onboarding process significantly elevates the investor experience and substantially lowers the rate of documents flagged as NIGO by introducing clarity and efficiency into the fund subscription process. Here’s how it operates: We convert your subscription agreements and tax forms into digital formats, allowing you to concentrate on distributing subscription packages and monitoring investor interactions with your documents. 1. Anduin digitizes the document provided by your legal counsel, developing an advanced intelligent smart form. 2. We automatically fill the form with investor information sourced from earlier fundraising efforts. 3. The fund manager sends invites to investors, prompting them to complete the smart form and endorse the limited partner agreement. 4. The subscription package is then countersigned, and documents or data can be efficiently exported for the fund administrator’s use. For a demonstration, visit www.fundsub.io and see how we can elevate your fund management processes. -
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Altvia
Altvia
Altvia offers a leading-edge platform combined with unparalleled expertise to help your firm navigate and manage increasing complexities as it expands, with an ever-growing number of funds and a wider LP base. Effortlessly distribute tailored materials such as PPMs, K1s, and Capital calls while enhancing the overall investor experience through a secure portal that is supported by comprehensive analytics. At the foundation of a contemporary technology platform lies a unified source of truth that facilitates essential workflows, contact management, relationship mapping, and the automation of critical processes such as emails and task assignments. Gain unprecedented insight into your deal flow, empowering you to prioritize opportunities based on their sources or their resemblance to your firm's most successful investments. Additionally, simplify the reporting for portfolio companies and streamline the data collection process, enabling you to devote more time to understanding value creation and assessing the health of your portfolio. This holistic approach not only enhances operational efficiency but also fosters stronger relationships with investors and stakeholders. -
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Backstop
Backstop Solutions Group
Backstop offers a top-tier productivity software suite tailored specifically for investment managers and institutional asset owners. Designed with the needs of foundations, investment consultants, family offices, funds of funds, endowments, pensions, hedge funds, and private equity firms in mind, Backstop delivers exceptional, cloud-based productivity solutions that empower asset managers and allocators to enhance their capital raising and retention efforts, conduct thorough research and portfolio management, and efficiently meet the needs of their key stakeholders. Among its core offerings are Backstop CRM, Backstop IR, Backstop Research, Backstop Portfolio, Backstop Portal, Backstop Accounting - Investor, Backstop Accounting - Portfolio, and Backstop Mobile, ensuring comprehensive support for various operational demands. By integrating these tools into their workflows, users can expect to streamline processes and improve overall performance in the competitive investment landscape. -
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DAVIGOLD
DAVIGOLD
A comprehensive portfolio monitoring solution offers a personalized dashboard accompanied by analytics features, ensuring a centralized deal pipeline with tailored dashboards. It also includes fund administration and limited partner management, seamlessly integrated with cutting-edge business intelligence tools. DAVIGOLD emerges as a groundbreaking Fintech startup, allocating a significant portion of its budget—45%—toward research and development to create the most advanced Private Equity software globally. As a result, DAVIGOLD is positioned as a formidable competitor in the quest for an "all-in-one" Private Equity software solution, evidenced by its swift expansion and the increasing adoption of its distinctive and innovative offerings by leading Private Equity firms. This surge in popularity highlights the effectiveness and uniqueness of DAVIGOLD’s tools in meeting the complex needs of the industry. -
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Costars
corfinancial
Costars offers a comprehensive investment administration platform tailored for third-party administrators, fund supermarkets, wealth management firms, building societies, and retail banks. This multi-asset solution enhances client servicing and boosts sales channel engagement while facilitating the introduction of new products, such as fully automated ISA management. Furthermore, Costars includes essential management features to address the tax and regulatory needs of investors. It effectively organizes various instrument types into portfolios, which can be either wrapped or unwrapped, and makes them accessible through different distribution channels. The platform is capable of managing millions of portfolios and positions seamlessly, ensuring high throughput without facing scalability challenges. With both automated and manual trade entries, it provides current and historical portfolio valuations, automated checks for customer credit and ID verification, and maintains a thorough data and documentation audit trail. Additionally, Costars delivers comprehensive reporting and compliance functions, as well as deal validation, authorization, and pricing, ensuring that all aspects of investment administration are efficiently managed. This all-in-one solution empowers users to streamline their processes and improve overall operational effectiveness. -
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EQ International
EQ International
Since its inception in 1990, EQ International, led by Managing Directors Greg Wallace and Paul Spence, has been delivering quantitative insights into the equity markets and assisting fund managers throughout their investment processes. Our strategy for overseeing sustainable equity portfolios hinges on our Pure ESG framework, which ensures that portfolios maintain a clear focus on environmental, social, and governance factors, free from unintended biases related to investment styles like size, value, or momentum. Recently, we have introduced a novel approach to equity portfolio management that aligns with our Pure ESG principles, allowing for customization to suit the sustainable investment philosophies of individual investors. Additionally, our EQ Execution Tools empower fund managers and stockbrokers by enabling them to efficiently prepare and analyze their trading lists, further enhancing their decision-making processes. This blend of innovation and tailored solutions highlights our commitment to improving the investment landscape. -
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AdvisorWare
SS&C Technologies
Tailored for hedge funds, private equity, and funds of funds, AdvisorWare® offers a comprehensive platform that combines portfolio management, accounting, and partnership accounting. This system accommodates alternative investment funds facing intricate global investment, trading, and management challenges, alongside demanding financial, tax, partnership, and allocation reporting needs. Enhance your operational efficiency through a user-friendly interface that enables the management of various instruments and corporate actions while ensuring data integrity. Mitigate operational risks with its proactive, automated exception handling, workflow management, and reconciliation features. Additionally, it meets tax and reporting obligations across multiple jurisdictions and provides fully automated tax allocation for partners, ensuring compliance and ease of use. With its robust capabilities, AdvisorWare® stands out as a vital tool for fund managers seeking to streamline their operations and improve reporting accuracy. -
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FinlogiK
FinlogiK
$1 per monthFinlogik revolutionizes the investment sector by offering affordable, cutting-edge online tools and automated services, enabling both traditional institutions and self-directed firms to optimize their operations while adapting to the disruptive trends reshaping the financial industry. Partnering with an asset manager known for process-oriented investing, Finlogik empowers you to create and oversee effective, budget-friendly investment strategies that cater to both retail and institutional clients. With the help of analytical dashboards, users gain access to benchmarking capabilities, comprehensive reporting, and extensive data processing tools designed to evaluate portfolio risk, exposure, and overall performance. Whether dealing with straightforward listed securities or intricate OTC products, Finlogik is equipped to assist in managing a wide array of financial instruments, including stocks, futures, options, fixed income, money market assets, foreign exchange, and fund units. This adaptability ensures that clients can navigate the complexities of the financial market with confidence and efficiency. -
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Fund-Studio
Fund-Studio
FundStudio offers hedge fund managers, commodity trading advisors, asset management firms, and family offices a comprehensive platform for real-time operations and reporting, along with outsourced managed services, ensuring they have complete insight into the status of their funds or managed accounts, as well as the essential tools for effective management. Users can capture transactions and trades through various methods, including real-time FIX connections, file uploads, API integrations, or manual input directly on the screen. The platform allows for the allocation of orders to different accounts and strategies, facilitating precise management. It also implements compliance measures like position limits and asset-class restrictions, along with more intricate programmatic rules like leverage adjustments. Users can monitor real-time intra-day profit and loss, while also defining various perspectives of data through dynamic "pivot tables" in real-time. Cash management is seamlessly handled, covering trade settlements, margin requirements, coupon payments, and principal movements. Additionally, users can forecast cash flow and fulfill investor due diligence questionnaire demands by collaborating with fund administrators to generate net asset values at both the master-fund and feeder fund levels. This holistic approach enables greater efficiency and transparency in fund management. -
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Fund Manager
Beiley Software
$129 per licenseFund Manager is a robust software solution designed for effective portfolio management. It offers different versions tailored for individual investors, professional traders, and investment advisors, including personal, professional, and advisor editions. Users can view screenshots showcasing various graphs and reports. To explore Fund Manager, you can visit the download page and access a fully functional trial version. A range of tutorials is also provided, including a quick-start guide to help new users navigate the software efficiently. Once you've assessed its features, you have the option to purchase a licensed version for continued use. The software allows you to maintain a detailed transaction history for an unlimited number of investments and portfolios. You can monitor a diverse array of assets such as stocks, mutual funds, options, bonds, cash, and more. Additionally, it enables users to track their purchases, redemptions, distributions, transfers, and complex transactions like splits, re-combinations, mergers, and spin-offs, accommodating both long and short positions in investments. This comprehensive approach ensures that all aspects of portfolio management are covered effectively. -
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Eze Eclipse
SS&C Eze
Emerging hedge funds that focus on equity and event-driven strategies require an investment platform that is adaptable, scalable, and dependable to facilitate their growth and transformation. Eze Eclipse™, a cloud-native investment solution, offers comprehensive support for your entire investment workflow via a secure web browser interface. Enhance your trading operations with optimized order routing, predefined allocation strategies, and dynamic allocation tools that provide essential data summaries. Easily request short locates from connected prime brokers and utilize those rates throughout your trading processes. Keep track of both real-time and historical performance metrics for your portfolio, benchmarks, and individual securities. Benefit from robust monitoring capabilities for real-time market value, profit and loss, and exposure positions. Ensure compliance with investor mandates and industry regulations through pre- and post-trade checks. Additionally, seamlessly connect with leading prime brokers, custodians, and fund administrators to manage daily data flows effectively, ensuring your operations run smoothly. This comprehensive platform not only streamlines your investment processes but also positions your fund for long-term success in a competitive marketplace. -
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Portfolio Probe
Burns Statistics
Portfolio Probe creates random portfolios that can significantly enhance your fund management strategies. These portfolios serve as a representation from a larger pool that adheres to specific constraints, which are fundamental to their effectiveness. The versatility of random portfolios allows for various applications in finance. In essence, portfolio optimization involves utilizing forecasts regarding the asset universe to identify the most advantageous trade to execute. It's worth noting that "portfolio optimization" is somewhat misleading, as the focus is on optimizing the trade itself rather than the portfolio. Furthermore, utility-free optimization aims to identify the trade that aligns most closely with an ideal target portfolio while remaining compliant with the established constraints, thus ensuring strategic alignment in asset management. By leveraging these methods, fund managers can make informed decisions that contribute to their overall investment success. -
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The Caissa Platform
Caissa
The Caissa Platform stands out as the premier investment analytics solution tailored specifically for institutional allocators such as endowments, foundations, OCIOs, pension funds, and family offices. With clients managing assets exceeding $1.7 trillion, our web-based platform empowers users to conduct comprehensive analyses, including exposure, risk, liquidity, attribution, and private equity modeling, across diverse multi-asset class portfolios. Our dedicated data team ensures that all forms of transparency data—ranging from investor letters and separately managed accounts to private equity information and 13Fs—are meticulously aggregated into the Caissa Platform. This data undergoes a thorough process of cleansing, harmonization, migration, and integration, resulting in a cohesive resource for users. By providing harmonized exposures that facilitate full aggregation across various asset classes and investment vehicles, our platform enables seamless execution of exposure, risk, liquidity, attribution, and quantitative analyses, enhancing decision-making for portfolio managers and their underlying investments. Ultimately, the Caissa Platform not only streamlines analytical processes but also enhances the overall investment strategy for its users. -
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RiskAPI Add-In
PortfolioScience
$300 per monthFor hedge funds and their service providers, having an effective and versatile system to recognize and assess market risk is essential, and RiskAPI delivers just that. It enables the rapid establishment of a portfolio risk management framework for hedge funds while keeping costs low. By measuring exposure across clients, you can equip them with tools for managing portfolio risk, offering analytics and comprehensive reporting. Fund clients can also benefit from enhanced multi-asset and multi-currency portfolio risk reporting as an added value. Furthermore, integrating advanced portfolio risk analytics into pre-trade processes creates a formidable advantage. PortfolioScience focuses on developing risk management technology tailored for financial institutions, investment services, financial advisors, hedge funds, and commodity producers. Their cloud-based RiskAPI® service empowers fund managers, advisors, traders, and participants from both the buy-side and sell-side to access essential risk analysis tools whenever needed. RiskAPI encompasses all necessary data and features, ensuring that users can make informed decisions efficiently. With its robust capabilities, RiskAPI stands out as a vital asset in the realm of financial risk management. -
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Novus
Novus Partners
Unlock your potential by starting with data, as Novus partners with fund administrators, custodians, prime brokers, and portfolio management systems to digitize and streamline information provided by managers. Alternatively, you can maintain control by opting for self-upload, regardless of frequency or desired transparency level. Utilizing cutting-edge reconciliation technology, Novus ensures the accuracy and timeliness of essential portfolio data. The platform is adept at identifying and addressing data discrepancies, refining portfolio information to meet your needs. You can label, categorize, and analyze your data with custom tags, while also integrating alternative data sources like ESG metrics. Additionally, Novus allows you to compare public filings from a vast array of managers, providing deep insights into market dynamics. Dive into Novus’ proprietary indices to keep tabs on the most sought-after hedge fund stocks and enhance your investment strategies even further. By leveraging these tools, you can achieve a comprehensive understanding of your investment landscape and make informed decisions. -
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FundPortal
The Edgefolio Group
All you need to grow your business and improve your investor relationships is one portal. Hedge fund managers will benefit from smart analytics, file sharing, and marketing tools. FundPortal was designed for today's fund manager. Streamline your workflow and delight your clients with FundPortal. Intelligent CRM for hedge funds helps you identify and manage clients. A customizable client portal that can easily be accessed from your website will maximize your marketing efforts. You can delight and retain investors by providing analytics that cover a variety of metrics to show how you beat S&P 500. -
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LSEG AlphaDesk
LSEG Data & Analytics
Enhance your operational efficiency with LSEG AlphaDesk, a cloud-enabled order management system (OMS) and portfolio management system (PMS) tailored for the buy-side. Seamlessly integrate various multi-vendor data feeds and electronic trading platforms, while collaborating with custodians, prime brokers, and fund administrators. Consolidate all your firm's orders in one centralized location, enabling real-time tracking of portfolio exposure across more than 100 fields with adaptable groupings. Maintain control and accessibility from anywhere through its mobile-friendly interface. Recognized for its excellence, LSEG AlphaDesk delivers an award-winning solution that supports multi-asset class and multi-currency order management and portfolio oversight, complete with integrated risk and compliance tools, all designed to simplify and optimize your workflow within a cohesive user experience. This innovative platform is essential for any buy-side firm seeking to elevate its operational capabilities. -
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Risk Shell
ABC Quant
Risk Shell is one of the most sophisticated and comprehensive risk management and portfolio construction platform currently available on the market. It is an all-in-one analytical platform offering advanced risk management, portfolio construction & optimization, accounting and CRM for hedge fund of funds and multi-asset investment portfolios. With more than 500,000 financial instruments covering alternative investments, CTAs, mutual funds, ETFs and global equities Risk Shell is capable of constructing many multi-asset portfolios. -
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A Hedge Fund Portfolio Manager adeptly navigates intricate products, enhancing position oversight through automation and real-time tracking of positions alongside P&L documentation. Efficiently oversee comprehensive portfolios with optimized workflows and extensive asset class representation, allowing for a concentrated focus on growth opportunities. Establish a thorough audit trail to guarantee accuracy, transparency, and data reliability throughout all holdings and accounting transactions. Boost your decision-making capabilities with readily available actionable insights and automated reporting systems that simplify the analysis process. In this way, you can ensure that your investments are both strategic and well-informed.
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TrustQuay
TrustQuay
Transforming corporate services, trust, and fund administration through cohesive software solutions tailored to industry demands, from small local providers to expansive multi-jurisdictional entities. Our extensive global implementation expertise covers vital onshore, midshore, and offshore jurisdictions, ensuring comprehensive support. A vibrant and expanding international user community fosters continuous innovation in our solutions. We offer a complete array of business consulting services designed to adapt to your organization’s evolving requirements. Additionally, our technical consulting services deliver adaptable solutions to optimize the use of our software. With round-the-clock global support, we keep your organization on track. TrustQuay stands out with the most robust product offerings, unparalleled global reach, and the highest dedicated R&D investment in the trust, corporate services, and alternative fund administration sectors, empowering clients to enhance operational efficiency, minimize expenses, maintain compliance, and explore new revenue avenues. Our commitment to innovation positions us as leaders in the market, ready to meet future challenges head-on. -
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PackHedge™
FinLab Solutions SA
$5,000 per year 3 RatingsPackHedge™, the world's leading investment industry solution, is the best for Alternative/Hedge funds and Private Equity funds. It also works with traditional/mutual funds as well as many other investment instruments (UCITS. ETF. Equities. Real Estate. Forwards. Currencies. empowering quantitative and qualitative research and analysis, risk analysis, stress testing, scenario analysis, exposure analysis, contribution and attribution analysis, asset allocation, portfolio construction and management, shadow accounting for portfolios, managed accounts and funds of funds, with liquidity and cash flow forecasting/analysis, due diligence, document management, workflow, CRM (client relationship management), compliance, KYC and financial innovation. A collection of state-of-the-art modular software tools integrated into a single platform. This allows for unmatched data management models for multi-source, multiple-frequency, and multilingual qualitative and quantitative data. -
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Arbor Portfolio Manager
Arbor Financial Systems
$1,500Arbor's institutional Portfolio Management System (PMS) allows hedge funds and family offices to manage complex portfolios from one system. We have created a Crypto Portfolio Management (Crypto PMS) that allows you to manage both traditional and digital assets together on one platform, giving you years of future proof investing. This includes complex Crypto derivatives with many exchange connections. Detailed FX products along with many traditional securities like Fixed Income, CFDs, Futures, Options, Loans, Invoices etc. The hedge fund crypto portfolio management system includes comprehensive portfolio analysis, performance contribution, compliance (pre & post trade), order management and middle office functionality. Realtime, mobile and portal reporting give you constant access to your funds. Along with many Crypto exchange connections we provide, API, FIX and multiple market data feed choices enable us to configure the Portfolio Management System exactly as you require. -
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Nirvana Solutions
Nirvana Solutions
An All-Encompassing Solution for Your Asset Management Technology Requirements. We provide innovative financial technology and services that offer cohesive, multi-asset class workflow solutions tailored for Asset Managers, Asset Owners, and Service Providers. Our core objective is to streamline the investment process for our clients. Our platform effortlessly combines front, middle, and back-office solutions that are specifically designed for a diverse range of financial institutions, including Hedge Funds, Asset Managers, Family Offices, Prime Brokers, and Fund Administrators. By utilizing Nirvana, clients can bring together varied data from numerous counterparties, accounts, and asset classes in real-time, all through a single, user-friendly interface. Additionally, our solution features a middle and back-office service that enables us to assist clients in managing these operations efficiently. With personalized dashboards and integrated compliance features, both Asset Managers and Asset Owners can oversee intricate portfolios from one comprehensive view, facilitating informed decision-making. This holistic approach not only enhances operational efficiency but also empowers clients to adapt to the evolving financial landscape with confidence. -
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Everysk
Everysk
Enhance the safeguarding of your portfolios, increase asset acquisition, evaluate trading strategies, and automate everyday risk management tasks all within one comprehensive platform. Expand your business operations, streamline client data, adhere to regulatory standards, and generate recommendations effortlessly through automation. By automating workflows, you can facilitate business growth, incorporate both liquid and illiquid assets, and simplify family reporting processes. As a top-tier provider of investment workflows, we empower money managers with a robust platform that seamlessly integrates with our advanced risk engine. Our automated workflows efficiently analyze, structure, and securely disseminate portfolio reports and alerts, allowing clients to reclaim precious time. Experience greater precision in investment protection through our sophisticated calculation engine, which is tailored to evaluate portfolios that range from basic equities to more intricate multi-asset, long/short strategies. In mere seconds, thousands of potential portfolio outcomes can be simulated, providing invaluable insights for strategic decision-making. Ultimately, our platform not only enhances efficiency but also positions clients for long-term success in the ever-evolving investment landscape. -
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Relevant EquityWorks
Relevant Equity Systems
Fund accounting software and investor management solutions enable the tracking of investors, contacts, third-party representatives, and their interactions effectively. Additionally, fund administration software allows for the modeling of fund entities, managing closings, commitments, capital accounts, and transactions seamlessly. With portfolio management software, you can oversee all aspects of your investments, which include portfolio companies or properties, securities, revaluations, and shareholder tables. Provide your investors with what they desire most: thorough notifications and transparent quarterly reports accessible through a secure portal. Moreover, issue comprehensive ILPA call and distribution letters, alongside industry-standard quarterly reports to keep your stakeholders well-informed. Ensure that your limited partners have secure, round-the-clock access to fund documents via their smartphones, tablets, or standard web browsers, enhancing their experience and trust in your management. This level of accessibility not only fosters transparency but also strengthens the relationship between fund managers and investors. -
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RAISE
RAISE Technologies
RAISE is a comprehensive, cloud-based software solution designed for alternative investment firms such as those in private equity, venture capital, real estate, and private credit, effectively integrating fund administration, investor management, portfolio oversight, compliance risk evaluation, and reporting into one cohesive platform. This innovative tool streamlines end-to-end processes throughout the entire fund lifecycle, encompassing activities from investor onboarding and capital calls to distributions and NAV calculations, while also facilitating real-time performance monitoring and in-depth analytics, which minimizes manual intervention and boosts operational productivity. Users benefit from dynamic dashboards that offer immediate insights into fund performance and investor engagement, alongside customizable reporting options and a scalable framework that prioritizes data security and global accessibility from any device. Additionally, RAISE features a secure investor portal equipped with integrated communication capabilities, document sharing functionalities, task management tools, and tailored dashboards to foster transparency and enhance the user experience. This robust suite of features empowers firms to operate more efficiently and effectively in an increasingly competitive investment landscape. -
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Sydecar
Sydecar
$4,500 one-time paymentSydecar serves as a specialized deal-execution platform designed specifically for venture investors, streamlining the entire back-office process for private investments, which includes everything from forming investment vehicles to closing deals, ensuring compliance, managing banking functions, and overseeing administrative duties. This innovative platform empowers venture-fund and syndicate managers to establish special-purpose vehicles or funds in a matter of hours rather than days, effectively managing a variety of tasks such as entity formation for Delaware-domiciled SPVs, acquiring EINs, generating standardized legal agreements, onboarding investors, facilitating closings, integrating banking services, ensuring KYC/AML compliance, handling fund accounting, preparing tax documents like K-1s, making regulatory filings, distributing to investors, and providing continuous reporting. Additionally, Sydecar is capable of accommodating not only single-round SPVs but also complex layered structures, secondary SPVs, fund vehicles, and co-investments, thereby offering significant flexibility for intricate deal arrangements. By delivering a product-focused, standardized workflow, it effectively replaces the outdated reliance on manual spreadsheets, bespoke legal procedures, and fragmented administrative practices, ultimately enhancing efficiency in investment management. This comprehensive approach allows users to focus more on strategic decision-making rather than getting bogged down by operational details. -
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LLC FUND MANAGER
LLC FUND MANAGER
$500 monthSoftware for managing any type of fund administration, including mortgage pool/fund management. Supports equity shares and debt. Flexible and efficient reporting and distribution of payments. Perfect for mortgage pools, crowdfunding and partnerships. Pay shareholders by check or electronic payment via ACH/EFT. Reinvest, cash out. Complete solution for U.S. Reg. D 506 Private Offerings, (U.S. Investment Funds), and Canadian MICs. Our software will make your fund fly! -
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Sentry PM
ClearStructure Financial Technology
With the growth of the private debt and direct lending sectors, many fund managers find themselves without the necessary infrastructure and processes for effective scaling. As the need for transparency rises and operations face heightened scrutiny, both regulators and investors expect lenders to showcase robust controls and reliable procedures. The era of relying on spreadsheets or outdated systems for loan management has come to an end – Sentry PM provides a swift, adaptable, and innovative web-based platform that features comprehensive integration across front, middle, and back-office functions. This modern solution not only streamlines operations but also enhances overall efficiency for fund managers in an increasingly competitive landscape.