PEARL is Ortec Finances leading single-platform solution for performance measurement and risk attribution, and ex-post risk management.

Why choose PEARL?

  • Navigate Complexity: PEARL facilitates performance attribution for intricate derivative and overlay strategies, dynamic policies, active management, factor allocations, and private market investments.
  • Multi-Asset Class Attribution: Perform thorough attribution analysis seamlessly on a unified platform, accessing results flexibly, including full look-through via self-service reporting.
  • Boost Efficiency: Benefit from efficient data management, configuration, and workflow support through the intuitive web interface, enhancing productivity.
  • Insightful Analysis: Obtain valuable insights into investment decisions by consistently attributing risk and return per investment decision relative to your objectives.

Discover the added value of our Performance Measurement and Attribution tool PEARL?


Download the PEARL brochure by filling out the form.

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