Portfolio Managers

Shorten the journey from data to decision

We speed up the process of finding, analysing and visualising the data that impacts your portfolio so you can make investment decisions with ease and confidence.

We bring you more extensive macroeconomic, aggregate financial and sector data time series than any other provider – backed by the most comprehensive metadata in the industry.

2,082

GlOBAL SOURCES

236
m+

Time series

200+

COUNTRIES

300

GlOBAL SOURCES

236
m+

Time series

31m+

COUNTRIES

Our open data and time series are rigorously organised and updated within seconds of release. We provide all data ‘as is’ from source, including links back to the originator, so you can view the methodology behind it.

Build clear and accurate charts quickly and easily with our integrated analytics functions.

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Search and extract comprehensible, accurate data quickly and intuitively. Upload and integrate your own time series or use the outputs of your in-house research teams working in Macrobond.

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Instantly visualise your thoughts, and update charts and presentations. Create basic econometric models without needing to code.

Key benefits

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Seamless integration

Our software integrates with a range of applications including Bloomberg, Microsoft Office and internal and external databases.

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Simplified workflow

Streamline processes and save time with integrated analytical tools. Access pre-defined analyses to dissect economic and financial data in a few simple clicks.

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Stronger collaboration

Share insights, charts and presentations across your organisation and build on each other’s knowledge without having to start from scratch.

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Download our factsheet for Portfolio Managers

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Simplify workflows and collaborate with global teams

We strengthen your forecasts with more data than any other macroeconomic data provider.