Capital Markets Challenges We Help Solve
Capital markets firms need speed and edge without losing control of risk, compliance, or model governance.
How NuoData Helps Capital Markets Firms
Unify Enterprise Data Platform
Connect market data feeds, trading systems, portfolio and risk platforms, and alternative data sources where they already sit, without duplicating data into yet another system.
Strengthen Governance and Compliance
Centralize metadata and lineage across every data source feeding a model or report, so risk, compliance, and audit teams can trace any number back to its origin.
Make Analytics Accessible and Governed
Let analysts and portfolio managers ask questions about positions, exposures, and performance in plain language, grounded in the definitions your risk and data teams already maintain.
Build AI on a Governed Foundation
Build governed AI agents for research synthesis, risk analytics, and portfolio insight, protected by the same lineage and access controls that already govern trading and risk systems.

Why Financial Institutions Choose NuoData
NuoData gives capital markets firms a governed foundation for market, trading, portfolio, and risk data—so every insight, model, and report is consistent, explainable, and ready for scrutiny.
Open architecture with no vendor lock-in
Connects to data without unnecessary movement
Unified governance across data and AI
Consistent analytics and conversational BI
Enterprise-ready AI built on governed data
Faster modernization with lower operational complexity
Related Solutions
Explore the NuoData products that power trusted Manufacturing data and AI.
Capital Markets Use Cases We Support
Apply a governed data foundation across the workflows where capital-markets teams make decisions, manage risk, and meet regulatory obligations.
Trading Analytics
Improve execution quality and transaction cost analysis
Bring order, execution, and market data together in one place to support smarter routing and post-trade analysis.
Market & Risk Data Management
Strengthen VaR and stress-testing accuracy
Give risk teams a consistent, governed view of positions and market data across desks and asset classes.
Investment Research
Accelerate research synthesis
Combine structured market data with research notes and unstructured documents so analysts spend less time hunting for context and more time forming a view.
Portfolio & Client Reporting
Deliver consistent reporting across funds and mandates
Standardize how performance and holdings data is calculated and presented, regardless of which system it originated in.
Regulatory Reporting & Surveillance
Simplify best-execution and compliance reporting
Maintain centralized lineage so MiFID II, Dodd-Frank, and surveillance reporting can be produced and defended without a manual reconciliation exercise each cycle.
Model Risk Management
Keep models explainable and auditable
Track lineage from source data through to model inputs, so model risk and validation teams can show their work.
Frequently Asked Questions
What is a governed data platform for capital markets firms?
How does NuoData support model risk management and regulatory review?
Can research analysts query market and portfolio data without SQL?
Does NuoData replace our existing market data or trading systems?
How does NuoData help with best-execution and surveillance reporting?
Still have questions? Talk to an Expert—we’re happy to walk through your specific environment.
Ready to Modernize Capital Markets Data & AI?
Turn fragmented trading, research, and risk data into one version of truth with a unified open platform designed for enterprise-scale analytics, governance, and AI.






