BarraOne

BarraOne

By: MSCI INC

MSCI (Morgan Stanley Capital International) is a financial service software that helps clients in investing, risk management, portfolio management, and benchmark indexes. They use a Barra Optimizer that performs easy integration and transparency for optimized portfolio management. Loss calculations are done by Value at Risk statistical model and can be customized by stress testing.

Based on 1 Vote
Top BarraOne Alternatives
  • Simple
  • StockCharts
  • Unison
  • LendingClub
  • Riskalyze
  • MoneyGuidePro
  • VectorVest
  • Personal Capital
  • BlueMatrix
  • Square Capital
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Top BarraOne Alternatives and Overview

1

Simple

Simple is a budget and expense tracker application with banking features built into the application interface.

By: Simple Finance
Based on 14 Votes
2

StockCharts

StockCharts.com is an online stock graphing application. A significant part...

By: StockCharts.com
Based on 2 Votes
3

Unison

By: Unison Technologies, Inc.
Based on 1 Vote
4

LendingClub

LendingClub is a financial lending service that provides loans to its customers at an affordable interest rate.

By: Lending Club
Based on 11 Votes
5

Riskalyze

Riskalyze provides a system through which stockbrokers and agents can keep their client portfolios in check and provide valuable suggestions.

By: Riskalyze
Based on 18 Votes
6

MoneyGuidePro

Money Guide Pro is a Financial Services software founded by Envestnet to help the users in assisting them with all the money and income-related problems.

By: PIEtech, Inc
Based on 15 Votes
7

VectorVest

It offers several options to the users for selecting the best investment opportunities according to...

By: VectorVest
Based on 1 Vote
8

Personal Capital

Users can monitor all their accounts in a single place, including investments...

By: Personal Capital
Based on 3 Votes
9

BlueMatrix

It helps the banks and other finance-related establishments to publish their work...

By: BlueMatrix
Based on 2 Votes
10

Square Capital

Users do not need to influence their credit report just for the loan application as...

By: Square
Based on 2 Votes

BarraOne Review and Overview

Most of us falter at the thought of finance management. All we know about that topic is taxes and giving the correct amount of change when we purchase something. Terms like portfolio analysis, hedge funds, stocks, and equity seem to be ringing bells distantly. Though we are unfamiliar with these words, they are an integral part of our lives. Investments, stocks, and funds govern our economic world. So what do these terms mean to us exactly? And who is willing to help us through the process?

The Finance Giant

Anyone from the finance world is intimately familiar with Morgan Stanley Capital International. They are one of the largest giants in the financial market known for their benchmark indexes, investment, and portfolio analysis. In addition, they offer various analytics services like risk management, managed solutions, regulated solutions, and Multi-asset class factor models.

Investments

Investing at the right time, in the right place, makes a difference between hundreds and millions. MSCI helps you make these decisions through their years of experience and through various types of investing services like Factor investing, ESG investing, and Real Estate investing. MSCI’s factor indexing is based on decades-long market returns that have proven to be profitable, which are backed by academic and empirical results. Investors seeking diversity in the Real Estate market can find a home at MSCI- their research and objective benchmarks and indexes help to make sound judgments. They also offer ESG investing service, which assists in a healthy workspace.

Analytics

MSCI aid client’s investing decisions by performing multi-asset class risk and analysis with the latest technology. The various analytics models include security analysis, pricing models, stress testing, statistical analysis, Barra Multi-Factor models, etc. The Barra optimizer is a flexible, innovative, transparent, and easy integration software that helps asset managers handle their portfolios. MSCI increases a portfolio’s expected return through risk management via methodical asset allocation. Additionally, their services also extend through implementation and reporting. MSCI’s stress testing is comprehensive and can be customized by including correlation assumptions, shock parameters, etc. This is backed up by VaR (Value at risk) statistical model that covers the complete losses that may be incurred.

Company Information

Company Name: MSCI INC