Global Market Data, Independent Valuation, Risk & Regulatory Calculations — Delivered at Scale

Eliminate vendor fragmentation, reduce operational risk, and strengthen decision-making with a single trusted partner.

Asset and fund managers face growing pressure from:

  • Fragmented market data sources and inconsistent pricing
  • Difficulty valuing complex or illiquid instruments
  • Expanding regulatory reporting requirements
  • Limited internal quant capacity
  • Integration challenges across systems and workflows
  • Rising operational and governance risk
     

Managing multiple vendors and disconnected tools increases cost, complexity, and exposure.

IQ risk overview

Trusted by

Infront Client logo
Infront Client logo
Infront Client logo
Infront Client logo
Infront Client logo
Infront Client logo

One End-to-End Ecosystem for Data, Valuation, Risk & Regulatory Compliance

Comprehensive Multi-Asset Coverage

  • Equities and indices
  • Fixed income and credit instruments
  • Funds and ETFs
  • Derivatives and structured products
  • OTC instruments
  • Corporate actions and reference data
  • Benchmarks and market indicators

Regulatory & Documentation Automation

  • PRIIPs SRI and performance scenarios
  • Reduction in Yield calculations
  • SRRI metrics
  • Regulatory risk indicators
  • KID, KIID and PIB generation
  • Template management and document hub
  • Automated regulatory data delivery via feeds

Valuation & Risk Capabilities

  • Automated portfolio valuation
  • Risk factor modelling and sensitivities
  • Barrier probabilities & credit risk metrics
  • Yield curves and pricing analytics
  • Pre-trade margin validation
  • Market conformity and post-trade checks

Data Feeds & Integration

  • API and feed-based delivery
  • Direct integration with portfolio systems
  • Automated daily calculations
  • Real-time or batch processing
  • Flexible deployment (cloud or hybrid)

Solutions Tailored to Your Needs

  • Centralized market data hub
  • Portfolio valuation and NAV validation
  • Risk monitoring with consistent inputs
  • Performance and attribution analytics
  • Regulatory reporting automation
  • Independent pricing verification
  • PRIIPs documentation production
  • Complex instrument valuation
  • Pre-trade risk assessment
  • Governance and oversight support

Gain insights and tools to navigate long-term investment strategies. Infront provides risk management, enhanced transparency, and full regulatory compliance.

Efficiently manage complex portfolios, automate regulatory reporting, and ensure transparency. Infront supports custodian banks by enhancing operational efficiency and reducing risk.

Axa case study

Take the First Step Toward Streamlining Compliance, Risk, and Investment Decisions with Infront.

Regulatory Confidence

Automated, scalable solutions ensure compliance with evolving regulations (PRIIPs, MiFID II/III, IAS39, etc.) and streamline document management, DORA ready, supervised by regular external audits.

Data-Driven Decisions

Access to high-quality, global and local market data, analytics, and valuation tools that support robust investment and risk management processes.

Efficiency & Integration

Modular platforms and APIs enable easy integration into your workflows, reducing manual effort and operational risk.

Expert Support

Local teams across Europe provide deep market insights, rapid support, and tailored onboarding for seamless adoption.