MSCI Barra is a leading provider of multi‑asset risk, performance and analytics solutions for institutional investors. Looking for other platforms that deliver portfolio analytics, risk modelling, factor analysis, and compliance monitoring? Below is a curated list of 20 alternative investment‑management software solutions.
Get targeted exposure with custom position pinning and highlighted placement.
Comprehensive portfolio analytics suite offering risk, performance attribution, scenario analysis, and ESG integration directly within the Bloomberg Terminal.
Integrated risk and performance analytics platform with multi‑asset class attribution, factor modeling, and real‑time data feeds.
Investment research and analytics platform providing performance measurement, risk analytics, and extensive fund data across asset classes.
Financial data and analytics solution delivering risk modeling, scenario analysis, and deep market intelligence for portfolio managers.
Real‑time market data and analytics platform with portfolio risk, performance attribution, and factor analysis tools.
End‑to‑end investment management system covering risk analytics, portfolio construction, compliance, and trade execution.
Integrated investment management solution offering risk analytics, performance measurement, and accounting across multiple asset classes.
Order and execution management system with built‑in risk analytics, compliance, and performance attribution.
Factor‑based risk models, scenario analysis, and portfolio optimization tools for multi‑asset portfolios.
Enterprise‑grade risk analytics platform delivering VaR, stress testing, and factor risk models.
Advanced risk analytics suite covering market, credit, and liquidity risk with customizable dashboards.
OMS/EMS platform with integrated risk analytics, performance measurement, and compliance monitoring.
Cloud‑native investment management platform offering portfolio accounting, risk analytics, and performance reporting.
Trading and risk management system delivering real‑time risk analytics, scenario analysis, and performance attribution.
Cross‑asset trading, risk, and processing platform with robust analytics and stress‑testing capabilities.
Data‑driven investment platform providing risk analytics, performance measurement, and ESG insights.
Analytics suite delivering risk, performance, and attribution tools for multi‑asset portfolios.
Open‑source algorithmic trading platform with built‑in risk and performance analytics for quantitative strategies.
Open‑source R library for portfolio performance measurement, risk analysis, and factor attribution.
Investor‑focused risk assessment platform that quantifies risk tolerance and aligns portfolios with client risk profiles.