The Sharpe Ratio is popular, but does it truly measure the right risk? Explore how the Sortino Ratio focuses on downside risk and delivers smarter insights.
Investing Tools and Regulations
Sharpe Ratio: The Investor’s Compass for Risk-Adjusted Returns
The Sharpe Ratio is one of the most powerful tools for evaluating your portfolio’s performance. It reveals whether you’re truly being rewarded for the risk you’re taking — or just gambling in disguise. In this article, we break down how it works, why it matters, and how investors use it to make better decisions.
CSRD and the Future of Sustainable Finance: A Deep Dive from an Investment Firm’s Perspective
The Corporate Sustainability Reporting Directive (CSRD) marks a major shift in ESG disclosure. This deep-dive reveals how investment firms can transform compliance into strategy, leveraging tools like the ESRS and double materiality assessments to optimize risk, performance, and long-term value creation.
Understanding the PRIIPs Regulation: A Comprehensive Guide for Retail Investment Transparency
Discover how the PRIIPs Regulation is transforming retail investment transparency across Europe. Learn how Key Information Documents (KIDs) work, what they include, and how firms can automate compliance efficiently. This comprehensive guide covers everything from risk and performance metrics to 2026 regulatory updates and practical implementation.
Embracing Transparency in Asset Management: Tools and Strategies for a New Era
Transparency, personalization, automation. In 2025, asset managers can no longer rely on basic extranets. A smart client portal powered by advanced BI is essential to retain investors and drive operational efficiency.
AMINDIS: A Niche Powerhouse for Institutional Asset Managers?
How does AMINDIS compare to financial heavyweights like Workiva or AuditBoard? Dive into our expert breakdown of top investment tools for performance attribution, risk analysis, and compliance reporting.