NAVquant

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Switzerland HQFounded 2025

Deployment

Web-based

Overview

About NAVquant

NAVquant is a cloud-based SaaS platform purpose-built to automate Net Asset Value (NAV) and fee calculations for complex investment vehicles, including Alternative Investment Funds (AIFs) and Actively Managed Certificates (AMCs). By replacing manual, error-prone spreadsheets with a standardized calculation engine, it seamlessly handles intricate multi-series structures, high-water marks, and performance fees. The tool delivers transparent, audit-ready reporting to ensure high reliability for fund managers, auditors, and institutional investors.

At a glance

Software information

Industries served, licensing and the support NAVquant provides.

Industries

  • Investment-management

Licensing

  • Proprietary
  • Annual Subscription
  • Free trial

Support

  • Email
  • Phone
  • Support daysMondayTuesdayWednesdayThursdayFridaySupport time09:00 to 19:00 (ECT)

Training

  • Webinar
  • In-person
  • Documentation
Languages (1)
English
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Capabilities

NAVquant features

The full feature set, grouped by module.

Hedge Fund Software

  • Investor Accounting
  • Investor Reporting
  • Partnership Accounting
  • Profit/Loss Statement

Plans

NAVquant pricing

Free Version
No
Payment Frequency
Annual Subscription
Preferred Currency
EUR (€)
Free Trial
14 Days
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Media

Screenshots & video