Client Solutions - Data
Portfolio Management
Understanding and evaluating risk is central to superior portfolio management
Data Science
Data Exploration Just Became Easy
Exploratory analysis is your first step in discovering hidden insights.
Artificial intelligence, machine learning, and deep learning have dominated the last five years in the financial and investment industry. Years ago, it was difficult to find data designed for data science. Since then, the data science community has been flooded with datasets, but are they the right data sets?
GFD has complete, accurate data ready to export into any data science application. Create the most sophisticated models and algorithms using the most unique set of historical financial content available. Out-perform any market trend and arm yourself with the complete series.
GFD provides API, Excel Add-In, or other downloading methods to effectively test your best thinking, either on-premise or in a cloud environment managed by you.
Balancing strengths, weaknesses, and opportunities, of a company, industry, or sector is required for great portfolio management. Understand your risk exposure, relative to macroeconomic factors, market conditions; or market relationships which affect overall performance of individual equities or the market as a whole, using unique data sets only provided by GFD.
Portfolio Management
Long term insights for Portfolio Managers
Understanding and evaluating risk is key to excellence in portfolio management
Quantitative Analysis
Sophisticated analysis requires
revolutionary data
Create superior models.
Set yourself apart by focusing on the real drivers of performance. Discover shortcomings, uncover bias, and test suitability to go from model to production quickly.
Backed by original sources to ensure data integrity, GFD provides thousands of benchmarks, estimates, macroeconomic time series, and exchange-traded funds, so you can find untapped opportunity in one-of-a-kind content.
Tested by thousands of researchers, our data will power the most sophisticated algorithms, models and machine learning processes. Call today for a demonstration of how GFD Data will increase your results.
New asset types need more complete data to uncover a security’s true risk.
With 2,000 years of financial history at your fingertips, GFD’s incomparable alternative data gives you the information you need to better understand your exposure. Run extreme market scenarios and what-if tests, giving you superior insight into the market dangers that may occur.
Mitigates risks, test new ideas, and out-perform with proprietary content only provided by GFD.
Risk Management
Answer complex questions
with exclusive data
Research
Novel investment ideas hinge
on disruptive data
Whether buy-side or sell-side, you're under pressure to unearth innovative investment ideas and share your discoveries with colleagues, advisory councils, and client publications.
Dig into company financials and industry fundamentals to uncover historical or delisted securities that lead to investment opportunities or take the macro view and track shifts in economic forces that drive your market.
By providing a complete research solution, GFD’s complete data sets and exclusive indices support you to develop fresh, cutting-edge views that will outperform the toughest markets. You can focus on your next generation of alpha.