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Pre-trade compliance checking in a portfolio management system

机译:投资组合管理系统中的交易前合规性检查

摘要

A mechanism for pre-trade compliance checking in a mutual funds portfolio management system is disclosed. The preferred embodiment of the invention records the interpretations and assumptions of each rule and limit. The preferred embodiment of the invention is specifically adapted for compliance with Rule 2a-7. The implementation of Rule 2a-7 is composed of two parts: (1) Determination of Entity Exposure; and (2) Determination of Limits. For each security traded in a money market fund in the portfolio management system, it is necessary to determine the exposure of each entity associated with the security. This exposure is composed of two parts: (1) the role the entity plays in the context of this security; and (2) the amount of exposure (in percentage). With the exposure determined, it is possible to determine where any fund is in relation to Rule 2a-7 limits.
机译:公开了一种在共同基金投资组合管理系统中的交易前合规性检查的机制。本发明的优选实施例记录了每个规则和限制的解释和假设。本发明的优选实施例特别适于遵守规则2a-7。规则2a-7的实施包括两个部分:(1)确定实体暴露; (2)确定极限。对于投资组合管理系统中货币市场基金中交易的每种证券,有必要确定与该证券相关的每个实体的敞口。此风险包括两个部分:(1)实体在此证券范围内扮演的角色; (2)接触量(百分比)。确定风险敞口后,就可以确定任何与规则2a-7限制有关的资金。

著录项

  • 公开/公告号US7599869B2

    专利类型

  • 公开/公告日2009-10-06

    原文格式PDF

  • 申请/专利权人 STUART SANDS;STEPHEN B. WARD;

    申请/专利号US20010971464

  • 发明设计人 STUART SANDS;STEPHEN B. WARD;

    申请日2001-10-05

  • 分类号G06Q40/00;

  • 国家 US

  • 入库时间 2022-08-21 19:30:17

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