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features
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Description

Investortools offers valuable insights into identifying and quantifying the various sources and factors contributing to a portfolio’s overall return. Delve into the mathematics that underpin these calculations while discovering how the Custom Index Manager (CIM) can assist in elucidating your portfolios' performance. Factor-based attribution breaks down returns by utilizing independent systematic factors such as income effects, yield curve shifts, and spread impacts. In contrast, allocation attribution focuses on the excess return—calculated as the difference between the portfolio's total return and the index's total return—resulting from strategic allocation choices and variances within each category. Additionally, simulated performance delivers an in-depth (Bottom-Up) analysis of Total Return, enhancing your understanding of investment outcomes. This comprehensive approach equips investors with the necessary tools to make informed decisions and optimize their portfolio strategies effectively.

Description

Qualtik enhances your ability to assess the risk profile of your commercial loan portfolio while improving scenario analysis in a rapidly evolving economic climate. Our innovative loan portfolio analysis software empowers you to manage concentration risks proactively, keep an eye on capital ratios, conduct stress tests on relevant portfolio segments, and create tailored reports without the need for guesswork or excessive effort. For banks to effectively navigate the complexities of commercial loan portfolio risk, they require bottom-up stress testing tools that allow for the assessment of shifting market conditions. With Qualtik's stress testing capabilities, you benefit from speed and adaptability, enabling you to define your own performance thresholds, stress test individual loans or specific concentrations, and analyze your entire portfolio while generating comprehensive reports. Furthermore, you can efficiently target segments of your commercial real estate portfolio or carry out in-depth stress tests on specific loans to ensure thorough risk management. This level of detailed analysis equips financial institutions with the insights necessary to make informed decisions in unpredictable market environments.

API Access

Has API No 

API Access

Has API No 

Screenshots View All

Screenshots View All

Integrations

Google Sheets No 
Microsoft Excel No 

Integrations

Google Sheets Yes 
Microsoft Excel Yes 

Pricing Details

No price information available.
Free Trial No 
Free Version No 

Pricing Details

No price information available.
Free Trial No 
Free Version No 

Deployment

Web-Based Yes 
On-Premises No 
iPhone App No 
iPad App No 
Android App No 
Windows Yes 
Mac No 
Linux No 
Chromebook No 

Deployment

Web-Based Yes 
On-Premises No 
iPhone App No 
iPad App No 
Android App No 
Windows No 
Mac No 
Linux No 
Chromebook No 

Customer Support

Business Hours Yes 
Live Rep (24/7) No 
Online Support No 

Customer Support

Business Hours No 
Live Rep (24/7) No 
Online Support Yes 

Types of Training

Training Docs Yes 
Webinars No 
Live Training (Online) Yes 
In Person Yes 

Types of Training

Training Docs Yes 
Webinars No 
Live Training (Online) Yes 
In Person No 

Vendor Details

Company Name

Investortools

Founded

1983

Country

United States

Website

www.invtools.com

Vendor Details

Company Name

Qualtik

Founded

2019

Country

United States

Website

qualtik.com

Product Features

Financial Risk Management

Compliance Management Yes 
Credit Risk Management Yes 
For Hedge Funds Yes 
Liquidity Analysis No 
Loan Portfolio Management No 
Market Risk Management No 
Operational Risk Management No 
Portfolio Management Yes 
Portfolio Modeling Yes 
Risk Analytics Benchmarks Yes 
Stress Tests Yes 
Value At Risk Calculation No 

Product Features

Commercial Loan

Asset Management No 
Audit Trail No 
Complex Debt Structures No 
Dashboard No 
Document Management No 
Exposure Management No 
Lead Management No 
Pipeline Management No 
Risk Management No 
Trend Analysis No 

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