We started Vega Investment Technologies in 2010 with a focus on providing portfolio management solutions to firms that manage and service multi-asset portfolios.
Vega specializes in investment data management with a focus on post-trade services specifically in data analytics, including portfolio risk and business intelligence.
We have deep domain knowledge and understand key issues facing the industry participants, including regulatory changes (N-PORT, EMIR, MiFID II, etc.), industry trends, business process challenges such as manual processing and IT complexity.
Our technical expertise in the modern cloud architecture enables firms to be more efficient, accurate and service oriented.
We have helped investment firms reduce time to market for new instruments enabled via efficient workflow and provide effective data management solutions.
Below are our ‘cloud’ solutions that are focussed on global Buy-Side firms that hold multi-asset portfolios with AUM > 2bn USD :
a. Portfolio Risk: The Market Risk Solution for multi-asset portfolios
b. Portfolio Insights: Our Business Intelligence Solution for Investment Data
c. Portfolio Data Manager: Integrated Operational Data Management Solution