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Non-Investment Business
Risk Management
Convergence provides a unique blend of data-driven non-investment
risk insights that can be actioned by our consultative services team
in five major categories including Operational, Compliance, Regulatory
Event, Service Provider and Human Capital Risks.
Identifying and Managing
Operational Risk
Convergence measures the risk in the investment adviser’s operation functions by examining the relationship between investment operations work and the non-investment heacount doing the work.
Data-driven Products include:
Red Flag detection – red flag analytics are applied to 21 different business conditions that require heightened attention by the investment advisers operational support teams
Work Intensity Analytics – measure imbalances between changes in work and headcount
Predictive Analytics – measure the likelihood that the investment adviser may be looking to expand geographically, offer new funds or change/diversify service providers
Regulatory disclosure searches – is a time series review of SEC enforcement actions taken against investment advisers for wrongdoing
Consultative Services include:
Operational Due Diligence – initial, periodic, with ongoing daily maintenance
Risk due diligence for strategic acquisitions
Identifying and Managing Compliance Risk
Convergence “data-driven insights” and consultative services support compliance officers and their staff’s efforts to improve their regulatory filings. We provide insights into a Manager’s compliance program and its ability to meet regulatory filing requirements. We provide an independent data-driven view of the “quality” of filings and can support the corrective actions needed to improve the condition. Compliance & ODD teams use these scores to evaluate and improve the adviser’s organization. Quality scores are based on proprietary testing techniques applied to each filing, scoring the accuracy, consistency, and frequency of each regulatory filing. The scores are compared to a tightly defined peer group to create a distribution that allows Convergence to provide an overall comparative score. Our consultative services support investment advisers in identifying and implementing corrective actions across their people, process and technologies of the organization.
Data-driven Products include:
Integrated Compliance Quality Scorecard reports and analytics
Individual Form D, ADV and 13F quality reports and analytics
Fund Expense Disclosure reports and analytics
Compliance Quality Benchmarking & Monitoring
Advisor Brochure Redlining
Consultative Services include:
Regulatory Filing Process Reviews
Assist in the creation of core compliance protocols
Identifying and Managing
Regulatory Event Risk
Convergence measures the risk, or likelihood, that an investment adviser may incur an SEC regulatory enforcement action. We identify “high-risk business conditions” (HRBCs) that Convergence believes contributes to various wrongdoings cited in SEC enforcement actions and compares them to all advisers in the market. We use an HRBC “match-rate” to determine the degree of similarity between investment advisers and different type of enforcement actions to determine a regulatory event risk profile.
Data-driven Products include:
SEC Case Studies – decompose and highlight how high risk factor scores create high-risk business conditions (HRBCs) that are likely to have enabled wrondoing by investment advisers
High Risk Match Scores – custom analytics that profile the most common HRBCs in various SEC wrongdoing cases including but not limited to valuation conflicts, fees and expenses, disclosure failures and fraud.
Investment Adviser Benchmarking – custom analytics that compare the Regulatory Event Risk of different investment advisers
Consultative Services include:
Non-Investment Functional Risk Assessments
Risk Eductaion Services – SEC Case Debriefs
Identify, Select and Manage
Service Providers
Convergence’s proprietary “voice of the market” analytics measures and identifies the risk in service providers chosen by investment advisers to support their business. Voice of the market analytics examine tens-of-thousands of service provider selection decisions to create a “best-fit” profile using strategy, size and geography of the fund and the business complexity of the investment adviser.
Data-driven Products include:
Best Fit analytics – provides insight into what service providers are best for your business and your funds using strategy, size, geography, and complexity filters
Market Share analytics – provides insight into which of your service providers is gaining or losing market share using fund, asset, strategy, and geography filters
Business Won and Lost analytics – provides insights into the names of investment advisers that have changed an existing or added a new service provider
ESG Profiling– provides insights into ESG profiles of your service provider’s clients and compares it to tightly defined peer groups.
Non-Investment Risk Profiling – tells you the complexity and risk of a service provider’s client base and compares it to tightly defined peers
Consultative Services include:
Service Provider Selection & RFP Support
Service Provider Management Services
Human Capital Risk
Convergence data-driven insights and consultative services can help you identify and measure “high-risk staff-related conditions” in an investment adviser’s organization.
Data-driven Products include:
Organization Key Employee Turnover – absolute and relative measures of key staff turnover
Key Employee Functional Conflicts – absolute and relative measures of key functional conflicts of interest in your business
Entity Red Flags – identification of civil, criminal and regulatory citations
Key Employee Red Flags – identification of civil, criminal and regulatory citations
Political Contribution Exposure – identifies history of entity and individual giving
Our risk products and services are applicable for:
Public & Private Investment Advisors
All Allocators
Family Offices
Administrators
Auditors
Prime Brokers
Custodians
Insurance companies
Compliance firms
Fintech
Legal Firms
Mancos