Offerings
Fund Core Data
Linked to world class Security Master by SIX
Reference Data, Corporate Actions, Prices, Performance,
Fund Documents, Regulatory, Sanctions, Tax, ESG
Full Holdings
- Complete list of holdings
- Weights and values
- Basic data of the fund and holdings (name, identifiers, type, etc.)
Look Through
- Up to three levels of full holdings information
Allocation and Breakdowns
- Top 10 Holdings by weight
- By Asset Type, Fixed Income Type, Equity Group
- By Sector, Region, Country, Maturity, Market Cap, Currency
Examples
All Fund Core Data and Regulatory information available
- Fund basic information
Fund structure, legal form, reference and valuation currency, benchmark, investment objectives - Fund lifecycle
- Fund institution and operating companies
- Fund execution information, Investor target group, restrictions, cut-off, minimum subscription
- Countries registration and availability for sales
- Fees and expenses
- SIX classification
SIX Fund Type, EuroPerformance classification - Regulatory classification
CFI, CIC - EFAMA European Fund classification
- NCAs classification
AMF
- Fund price
NAV, Bid, Ask - Fund AuM
- Dividends including tax implication
- Fund corporate actions
- PRIIPS information
EET - Mifid II information
EMT - ESG EU Manufacturer
EET - Regulatory and Tax markers
- Funds document
Full Holdings
Fund A | |
---|---|
Apple | 20% |
Amazon | 20% |
Microsoft | 10% |
Fund B | 50% |
Look Through level 1
Fund B | |
---|---|
Microsoft | 10% |
Tesla | 10% |
Alphabet | 30% |
Fund C | 50% |
Look Through level 2
Fund C | |
---|---|
Apple | 30% |
Meta | 50% |
Microsoft | 10% |
Visa | 10% |
Look Through results
Results | |
---|---|
Apple | 27.5% |
Amazon | 20% |
Microsoft | 17.5% |
Tesla | 5% |
Alphabet | 15% |
Meta | 12.5% |
Visa | 2.5% |
Assets
Equity Group
Fixed Income Type
Regions
Currencies
Funds Coverage
May 2024
700,000
700,000
Active Share Classes
4,000
4,000
New Share Classes each month
400,000
400,000
Specific Funds information
300,000
300,000
Timely Source of Prices
10,000
10,000
Funds Management companies
Fund Type | Share Classes |
---|---|
Standard Investment / Mutual Fund | 302,000 |
Hedge Fund | 190,000 |
Fund of Funds | 38,000 |
ETF | 15,000 |
Private Equity Fund | 10,000 |
Pension Fund | 5,500 |
REITs | 4,000 |
Other / Non Classified | 156,000 |
Geography
Full Holdings Coverage
September 2024
116,000
116,000
ISINs
859
859
Asset Managers
Fund Type | |
---|---|
Equitiy Fund |
38% |
Bond Fund |
29% |
Mixed Fund |
10% |
ETF |
10% |
Other |
7% |
Fund of Funds |
3% |
Index Fund |
3% |
Asset Management Country | |
---|---|
Luxembourg |
54% |
Ireland |
10% |
France |
8% |
United States |
4% |
United Kingdom |
4% |
Germany |
4% |
Switzerland |
3% |
Canada |
1% |
China |
1% |
Sweden |
1% |
Liechtenstein |
1% |
Other |
9% |
Timeliness
Use Cases
Full Holdings
Look Through
Allocation and Breakdowns
Create comprehensive reportings of clients Funds’ holdings
Private Bank, Wealth Manager
✓
✓
Run in-house methodologies to assess ESG exposures and risks
Private Bank, Asset Manager, Insurances
✓
✓
Basel: optimization of Mandatory Capital Requirement
Private Bank, Investment Bank
✓
✓
FRTB market risk requirement: reduce capital requirement
Private Bank, Investment Bank
✓
✓
Screen the fund data to identify US holdings for corresponding declarations
Fund Servicing
✓
✓
Find out the delivery platforms
Delivery
Front Office | Middle Office | Back Office |
---|---|---|
Advisory | Risk | Fund Admin |
Order Book Mgmt | Compliance |
Back Office Operations |
Trading |
Portfolio Mgmt |
Global Custody |
Research | Reporting | Securities Services |
Market Abuse |