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Buyside

Insights across equities, credit, FX & commodities intelligence

Structured time series, fund flows, country and sector data, and event-driven coverage that support alpha generation, timing, exposure, and decision-making in fast-moving markets. The industry standard for global market intelligence.

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How do buyside firms spot emerging market turning points and catalysts before traditional data catches up?

ISI helps Chief Investment Officers, quants, strategists, economists and portfolio managers identify early inflection points by combining high-frequency and alternative economic indicators, fund flows, sovereign and corporate risk intelligence, company & M&A insight across global markets. This allows investment teams to adjust exposure, rebalance risk, and reposition portfolios quickly – before official reporting catches up.

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How do investors build a grounded view across markets, sectors, and companies when information is opaque?

Asset managers, hedge funds, commodities funds, sovereign wealth funds, private equity firms, and insurers operate in markets where capital shifts quickly and transparency is often limited. Allocation, risk management, portfolio construction and company performance depend on identifying macro and sector shifts before they are reflected in consensus data.

Challenges

ISI integrates macro indicators, fund flows, sovereign intelligence, company and industry level insight so investment teams can form differentiated views and act with greater conviction.

  • How do quantitative and quantamental investors uncover differentiated signals beyond traditional data?
  • How do investors detect macro inflection points before official releases?
  • How do trading desks, PMs and analysts assess sovereign stress and identify catalysts early?
  • How can portfolio managers, analysts, and deal‑origination teams reliably source and diligence opportunities in emerging markets?

ISI for...

Asset managers and hedge funds

How do asset managers & hedge funds identify inflection points before official releases confirm the shift?

Portfolio managers and strategists use ISI to detect turning points before they appear in consensus data by triangulating high-frequency macro indicators, fund flow, investor sentiment and positioning data, and sector demand signals. This enables earlier rotation across countries, sectors, and asset classes—before benchmarks and sell-side revisions catch up.

  • Refine country and sector rotational strategies with award winning alternative and high frequency macroeconomic indicators

  • Interpret trade, FX, and cross-border capital drivers with granular time series

  • Analyze daily, weekly and monthly fund flows to identify crowding and positioning risk and develop new factors

  • Monitor sovereign risk catalysts that can quickly reprice credit

ISI supports earlier positioning when markets are transitioning—not after the move is obvious.

Find your solution

  • Identify macro inflection points earlier

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  • Create and enhance systematic investment models

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  • Surfaces sovereign risk catalysts earlier

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Turn complexity into clarity

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