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Investment Management Software Spending Soars

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Mark Melin
Published on
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In a world where risk is often hidden around every corner, one of the most popular moves among institutional investors today is to consider new risk management software.

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A recent survey from Greenwich Associates shows spending on risk is nearly doubling while flexibility is increased. Whereas in the past, risk management software was often rigid and had a singular objective in mind, today’s software is customizable and built to adapt to new markets and opportunities.

risk management software
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Mark Melin is an alternative investment practitioner whose specialty is recognizing the impact of beta market environment on a technical trading strategy. A portfolio and industry consultant, wrote or edited three books including High Performance Managed Futures (Wiley 2010) and The Chicago Board of Trade’s Handbook of Futures and Options (McGraw-Hill 2008) and taught a course at Northwestern University's executive education program.