Track your positions
in real time
and increase
your productivity

With an automated feed for corporate actions and security prices, HedgeGuard® allows you to calculate your fund’s net asset value in real time. It also provides frequent and regular reconciliations to match assets and cash between custodian banks, administrators and your management company. Views can be customised for each manager, while maintaining the structure and coherence of the information.

Manage your exposures, P&L and historical reporting requirements across any time period. HedgeGuard® also makes it easy to manage fees and commissions, providing comprehensive information about the overall position of your portfolio. With its fully flexible interface, you can customise the functionality to maximise your productivity.