Case Study: Arini achieves streamlined trading and risk management with Quantifi

A Quantifi Case Study

Preview of the Arini Case Study

Arini manages $2.8 billion in AUM with Quantifi

Arini, a specialized alternative asset manager based in London, required a risk management system to consolidate portfolio risk and accurately model their diverse fixed income, credit, and equity derivative portfolios. They faced the challenge of handling complex investments and slow, manual processes. To address this, they turned to Quantifi for its enterprise solution and analytics.

Quantifi implemented a highly customizable system that automated daily risk calculations and provided a low-code data science platform. This solution enabled Arini to generate accurate, consolidated risk assessments and perform advanced analysis by extending Quantifi's model library through Python. As a result, Arini significantly boosted productivity, streamlined workflows, and improved portfolio hedging and overall performance.


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