• Product Mastering

      Formerly Fundipedia — automate fund data collection, validation and distribution with regulatory-grade accuracy and compliance

      Client Book of Record

      Centralise client and counterparty data with automated validation, regulatory compliance and complete relationship visibility

      Fee & Distribution Channel Management

      Streamline distribution fee management with automated calculation, validation and transparent reporting across channels

    • Global Funds Registration

      Accelerate cross-border fund registration with expert support, regulatory intelligence and streamlined compliance workflows

      Fund Filing

      Automate regulatory filings and reporting with validated data, intelligent workflows and complete audit trails

      Regulatory Document Production

      Automate compliant PRIIPs, UCITS, SFDR and TCFD document production with expert validation and multi-language support

      Regulatory Template Production

      Generate market‑standard regulatory templates with automated calculations to ensure accurate, compliant disclosures across jurisdictions, including UK CCI, SFDR, TCFD, and more

      Calculations

      Deliver consultancy-grade PRIIPs, cost transparency and performance calculations with industrial-scale automation across European markets

    • Dissemination

      Distribute fund data and documents efficiently across platforms, regulators and distributors with automated workflows

      Feeds

      Access comprehensive fund data feeds with flexible formats, automated delivery and regulatory-grade accuracy

    • Investment Tools

      Model client scenarios and analyse investments with tax-aware cashflow planning and structured product evaluation tools

      Investor Engagement

      Reach millions of investors with comprehensive research content, independent ratings, and digital engagement via Factsheets and Fund Centres

    • Fund Research and Analysis

      Access comprehensive fund research, portfolio analysis and investment decision tools with trusted data and real-time insights via FE Analytics

      Portfolio Construction

      Comprehensive managed portfolio service data with detailed holdings, performance analysis and comparison tools

      Investment Intelligence

      Centralise portfolio performance, platform data and fee monitoring with automated insights across your advice practice

    • Nexus AI for Investment Managers

      Automate compliance checks, accelerate distribution and monitor market intelligence with AI-powered regulatory workflows

      Nexus AI for Wealth & Financial Advisers

      Automate meeting transcription, summaries, CRM updates and emails for a 50% increase in operational efficiency and fresh cost savings. Start your free trial

    • Case Studies

      Real client success stories demonstrating measurable results and operational improvements

      Whitepapers

      In-depth research and analysis on challenges facing investment managers and wealth managers

      Newsroom

      Latest company announcements, product launches and industry news from FE fundinfo

      Articles

      Expert insights on fund data, regulatory compliance and investment technology trends

      Podcasts

      Conversations exploring how artificial intelligence transforms investment management and financial advice

    • Better Connected World Tour

      Join industry leaders exploring the future of fund distribution, data connectivity and regulatory technology

      On-Demand Webinars

      Access expert insights on regulatory compliance, technology innovation and industry trends whenever you need them

      Demo Day Wednesdays

      See our platform in action every Wednesday with live product demonstrations and expert Q&A sessions

      Private Banking Summit

      Connect with private banking leaders exploring wealth management innovation, regulatory challenges and client engagement strategies

    • Call Support

      Get in touch with one of our dedicated support teams

      User Guides

      Step-by-step documentation and tutorials for FE fundinfo products and platform features

      Customer Portal

      Access support resources, submit requests and manage your FE fundinfo services

      FE fundinfo Training Academy

      Comprehensive training modules for FE fundinfo platform users and advisers

  • Nexus AI
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How to migrate to FE fundinfo

When asset managers consider outsourcing fund data management and distribution solutions, they might feel overwhelmed and concerned about the potential challenges. However, the migrating procedure, whether it is from an in-house or outsourced system, can actually bring significant benefits when executed correctly the first time. Ensuring accuracy from the beginning is crucial with data requirements becoming more frequent and demanding within the fund management ecosystem.

Accurate data is the key to success in asset management

In the world of fund data management, it is crucial to process and maintain large amounts of information while ensuring its accuracy and relevance. This involves cleansing, updating, and enriching the data, as well as distributing it in a way that ensures it ends up in the right hands. Failure to do so can result in vital information about funds, such as their names, registration status, manager names, launch dates, NAV, fees, and dividend values, being either missing or displayed incorrectly on data providers' and fund distributors’ websites.

FE fundinfo’s approach to the migration process  

At FE fundinfo, we strive to make the migration process seamless and hassle-free, all while prioritising the accuracy of our clients’ data – a crucial aspect for the success of their businesses. Additionally, clients who have previously undergone a migration process with another provider will find our procedures familiar and straightforward.

Data pre-ingestion phase

The initial step involves clients acquainting themselves with our readily accessible data and document ingestion templates and instructions. Each template is conveniently categorised and accompanied by a comprehensive explanatory document for the following:

  • Documents
  • Regulatory data
  • Static data
  • Dynamic data
  • Full Portfolio Holdings data
  • Portfolio breakdowns

Our dedicated team of Data Relationship Managers is available to provide support and answer any queries you may have during the migration process.

Data post-submission phase

Once you have completed the initial stage, you will be ready to fill in the templates and we will give you the go ahead to submit them on our system. However, as we genuinely prioritise the quality of your data, we will closely monitor the ingestion process. We will carefully review any data points that appear to be incorrect and ensure that the data sources are accurate before fully ingesting your data.

First our systems analyse your file and its contents. We call this the “validation” phase which offers machine-based, instantaneous feedback. Secondly, the valid part of your data submission is checked by our data teams, who run further data audits - i.e. human-based verifications also known as the “auditing” phase. The post-submission process covers data validation, verification of data source, completeness of information and even regulatory compliance of the fund.

But what if your data set is incomplete?

At FE fundinfo, we prioritise maintaining exceptional standards of our golden source database. This ensures that the data we receive from asset managers is displayed with the highest quality on our platforms across the United Kingdom and Europe, including Trustnet and fundinfo.com, among others. Furthermore, we accurately distribute the data on behalf of our clients to various recipients such as regulators, data vendors, distributors, advisers, banks, and more.

Our primary focus is to obtain the data directly from the source, as it offers the most reliability. However, if there are any constraints preventing you from sending us specific data types, we can explore alternative options such as utilising publicly available sources such as websites, documents. Nonetheless, we strive to minimise reliance on these alternatives.

Why should I migrate to FE fundinfo?

There are two compelling reasons why asset managers should choose to migrate their data management and distribution functions to us:

1. Unparalleled data quality standards

We adhere to a golden standard of accuracy when it comes to our clients’ fund data. This commitment ensures that they can mitigate risks arising from inaccurate and untimely data distribution, such as reputational damage, regulatory fines and potential litigation.

2. Streamlined data management and distribution process

Our services seamlessly integrate and communicate with each other drawing data from our golden source fund database. This approach ensures accurate and timely fund data and document output, enabling our clients to put their best foot forward in their sales efforts.

Get your My Data health score today with unparalleled insights to your data quality against our golden source database.