NEW: Atoti for Buy side

Atoti for Buy side

Real-time cross-asset enterprise risk for asset managers, asset owners and hedge funds
One platform, many solutions
Total portfolio intelligence. No batch delays.
Eliminate spreadsheet risk.

Atoti for Buy Side unifies performance, risk, sensitivity and liquidity across every asset class and investment type, so your teams can act with confidence, not haste.

From fragmented data to total portfolio analysis

Atoti for Buy Side is a unified, real-time analytics platform built for asset managers, asset owners and hedge funds managing complex, multi-source, multi-asset portfolios across public and private markets. It consolidates holdings, benchmarks, risk and liquidity into a single Total Portfolio view, with AI-powered tools for auto-explanation, what-if analysis, rebalancing and hedging.

Built for decision makers on the Buy side

Portfolio Managers

Run analytics, construct and rebalance portfolios, and explore what-if scenarios before execution, all in real time.

Risk Managers

Monitor limits continuously. Receive early breach warnings. Investigate and mitigate risk before it becomes a problem.

Performance Analysts

See returns, risk-adjusted metrics and full attribution instantly. Monitor TWR, Monte Carlo, parametric and historical VaR with full drill-down.

Quants and Developers

Build portfolios on the fly on an open, extensible platform powered by AI-tools.

CIOs and COOs

Eliminate shadow IT and spreadsheet risk. Replace fragmented workflows with governed, auditable enterprise analytics that scale.

The Buy side has an analytics problem. And it's getting worse.

Siloed systems for multiple asset classes, batch runs and sprawling spreadsheet ecosystems create blind spots at exactly the moments when clarity matters most. The result is investment managers operating in the dark, and risk teams spending hours wrangling data instead of making decisions.
Guarantee user experience

Fund-of-fund look-through takes hours, not seconds.

Expanding multi-layer fund structures and reaggregating across hierarchies delays critical investment decisions.

Query AWS

Spreadsheets introduce risk at every level.

Multiple versions, broken formulas and audit failures. Excel was never built for enterprise-wide, cross-asset risk consolidation.

Regulatory parameters #3

AI tools lack the financial context to be genuinely useful.

Generic AI platforms can’t query live portfolio data or respect the governance requirements of institutional finance.

Real time #1

No single view across public and private investments.

Getting a consolidated picture is a manual, time-consuming exercise. By the time it’s ready, the market has moved.

Real time

Batch processing creates dangerous blind spots.

Overnight runs don’t reflect today’s reality. When conditions shift intraday, your analytics shouldn’t be twenty four hours behind.

Atoti was built to solve these problems.

Empower your trading desks
with AI-driven financial analytics.