Case Studies

Case Study: HAITONG

Case Study: ROBECO

Case Study: Tabula

Case Study: Majid Al Futtaim Trust Family Office

Case Study: LiZen Asset Management

AUGUST 2021 – Research Summary: Prime Brokerage, Margin, Collateral and Data

MARCH 2021 – Round Table Summary: Prime Brokerage, Margin, Collateral and Data

Case Study: MTS

Case Study: Noviscient

SimCorp – TSI Alliance

Case Study: SimCorp

HVaR: Predicting the Past

12 Key Questions LDI Managers Should Be Asking

THFJ Societe Generale / TS Imagine Article

THFJ Societe Generale / TS Imagine (Mandarin)

White Paper:
Predicting the Past
Historical VaR (HVaR) has become a standard measurement of risk. Many firms now require a full twelve years of prices (plus data from further back such as the Great Recession of 2008–2009). However, this requirement introduces a conundrum: what do we do when a company has not been around for a full twelve years?

CASE STUDY: MTS
This case study presents just one example of how a collaborative effort between MTS Markets International, Inc. (MTS), a data/liquidity provider, and TS Imagine (TSI), an EMS provider, helped a mutual client – Agilon Capital – optimise its corporate bond trading operation.

Research Summary: Prime Brokerage, Margin, Collateral and Data
This summary is based on research conducted between February and March 2021 with 20 banks looking at current trends and priorities for Prime Brokers in the Margin, Collateral and Data areas.

CASE STUDY: HAITONG
An international financial institution with established presence in Hong Kong and a rapidly expanding network across the globe, has a track record of strong growth and is known for its risk-focused internal culture.

CASE STUDY: ROBECO
A large, highly respected asset manager offering both fundamental and quantitative strategies.

Round Table Summary: Prime Brokerage, Margin, Collateral and Data
Offering valuable insight into the priorities and challenges facing prime brokers, broker dealers and clearers, this report is a summary of the discussion during the Margin, Collateral and Data Round Table, sponsored by TS Imagine on Thursday 25th March 2021.

CASE STUDY: LiZen Asset Management
A start-up hedge fund in Hong Kong with a highly respected management team and extensive trading experience gains real-time portfolio and risk capabilities, wide coverage, and simplified client reporting with the TS Imagine platform.

CASE STUDY: The Majid Al Futtaim Trust Family Office
Family office in Dubai gains operational efficiencies and greater flexibility with a consolidated platform for reporting, investment management and Investment Book of Record.

CASE STUDY: Tabula Investment Management
Innovative fund manager, Tabula Investment Management, implements the TS Imagine platform in under three months to launch new and manage existing fixed income ETFs.

When the Market Flips its Lid, What Does it Mean for LDI?
An area of investment management that is particularly exposed to changes in interest rates (nominal and real) is the world of Liability-driven Investing (LDI). This eBook provides an overview of the concept, and then dives into the key questions regarding risk management for liability-driven investing and provides technology tips.