MSCI Barra Portfolio Manager

from MSCI

Portfolio construction tool providing capital market assumptions, expected returns forecasting, risk modeling, correlation analysis, optimization, and stress testing capabilities.
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Specialized modeling software for developing forward-looking return, risk, and correlation expectations across asset classes that serve as inputs to strategic asset allocation models.

MSCI Barra Portfolio Manager

Advanced mathematical modeling tools that generate optimal portfolio allocations based on investment objectives, constraints, and capital market assumptions using various optimization techniques.

MSCI Barra Portfolio Manager

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