Solutions

Our consulting and services teams are experts in financial data, with practical experience in over 65 banking and buy-side implementations around the world.

From post-trade processing to independent price verification and stress testing, Asset Control provides insight-driven financial data management solutions for any application. A solid data sourcing and mastering process is combined with easy ways to distribute, integrate, discover and explore the data.

Asset Control’s provides a standard data model that tracks regulatory developments and keeps integration with content providers up to date. Its business rules capabilities can be used for risk factor classification, taxonomies, proxy management, risk factor preparation and eligibility tests

Asset Control’s provides a standard data model that tracks regulatory developments and keeps integration with content providers up to date. Its business rules capabilities can be used for risk factor classification, taxonomies, proxy management, risk factor preparation and eligibility tests

Products

Our range of products help financial organisations deliver high-quality reference, market and risk data to the people and applications that need it – on time, all the time

Meet the specific data requirements of risk management and new regulation

Providing award-winning data mastering engine with AC Plus

A comprehensive file management and scheduling system through AC Connect

The industries largest managed data lakes for seamless data acquisitions

Continually innovating to stay on top of new customer requirements and technologies in data storage and processing

A comprehensive library of APIs and direct feeds to downstream systems

Services

Asset Control helps financial organisations deliver high-quality reference, market and risk data to the people and applications that need it – on time, all the time

Helping our customers succeed through client engagements while building personal connections

We are committed to empowering our customers to use our products to their full potential through our support services, individually tailored classroom-based training, easy-to-access e-learning modules and our state of the art Customer Portal.

Optimize operational costs by utilizing both our expertise and that of our partners for business processing right through to technology operations

Insights

The latest data management research and commentary from Asset Control

Industry comment and analysis from the Asset Control team

Data management applications and best practice videos

Insight on industry trends, regulatory challenges and solutions

About Us

Delivering high-quality reference, market and risk data to the people and applications that need it – on time, all the time

Proven for unrivaled adaptability, reliability and efficiency

Stay up to date with all our latest news and company announcements

All the latest events we are hosting, sponsoring or and attending

Meet our management team

Asset Control partners with data, implementation and managed service firm to enhance clients’ experience of our data management solutions

All the latest vacancies at Asset Control

Contact Us

Get in touch with the Asset Control team - wherever you are in the world

A comprehensive, responsive programme for day-to-day support

We are a truly global company with offices around the world

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FISD Issue Brief & Christmas Party
29 NOVEMBER 2018

Refinitiv, The Thomson Reuters Building, 30 South Colonnade, Canary Wharf, London, E14 5EP, UK

Asset Control provides a member update to the London chapter.

Martijn Groot, Vice President of Product Strategy and Management at Asset Control, will present a company update at the annual briefing in London. 

 

Additional topics to be discussed:

  • Regulation - what's in store for 2019: MIFID II done? GDPR hovering somewhat ominously and FRTB way off. Can we all relax and put our feet up? Brexit cant be that much of a problem can it?  Bloomberg and Thomson Reuters between them might have some idea of what is going on. In this informal conversation Mark and John aim to enlighten us.

  • Research - MIFID II, One Year on: From Asset Allocator to Investment Manager to Sell Side Bank, MIFID II has dramatically impacted the research landscape and the way these firms do business. One year on from MIFID II go-live how have these different market segments adapted to the new regulation? And what does it mean for the Research technology landscape?

  • Research - a very different world since unbundling: Choice presents itself post-MIFID II; but choice often equates to complexity. There is a new landscape for Research in Europe post-unbundling. The big bulge bracket firms (aka the "Waterfront Providers") ramp up and need to persuade their consumers to pay hard dollars. A new breed of boutique/specialist providers have emerged, alongside aggregators and solution providers. It all sounds vibrant and exciting but big administration headaches loom large. At this stage knowledge, understanding, and some form of cooperation look like the order of the day.

 

Learn more here.