BIG DATA Technology
In an era where information is abundant and travels fast, Optimum Asset Management distinguishes itself by its ability to take advantage of this to the benefit of its clients’, in order to offer them the next generation of fixed income. To do so, our firm developed a powerful technological tool—our Big Data tool—that allows us to optimize our portfolio management services, our risk management, as well as your returns.
Our Big Data tool is extremely valuable in reinforcing our decision-making, providing in-depth analysis of the Canadian, American and European markets, covering more than 750 issuers and 30,000 securities including bonds, stock options, common shares and preferred shares. Designed to synthesize information, it quickly assesses the intrinsic value of securities and identifies the most attractive potential sources of returns.