FE fundinfo
- Company typePrivate
- Founded1994
- HeadquartersLondon, United Kingdom
- Headcount501–1,000
- GTM typeB2B
- OfferingSoftware
FE fundinfo firmographics
Firmographics- Name
- FE fundinfo
- Legal name
- FE fundinfo Limited
- Website
- https://financialexpress.net
- Company type
- Private
- Founded year
- 1994
- Operating status
- Operating
- Headcount range
- 501–1,000 employees
- Ownership category
- akta.pro rank
FE fundinfo industry classification
Industry- Product category
- Investment Data Management Software
- NAICS
- Portfolio Management and Investment Advice (523940), Other Investment Pools and Funds (5259)
- SIC
- Finance Services (6199)
- akta.pro primary industry
- Fund Document & Data Management (Prospectus/KIID, Data Quality, Master Data) (FSAAAMAL)
- akta.pro secondary industries
- Fund Financial Reporting & Regulatory Filings (GAAP/IFRS, N-PORT/N-CEN, AIFMD/UCITS) (FSAAAMAG), Transaction Analytics & Cash-Flow Insights (risk signals, forecasting) (FSAGACAG)
Keywords
Where FE fundinfo is headquartered
LocationHeadquarters
- HQ city
- London
- HQ country
- United Kingdom
- HQ region
- Europe
Offices1 record
Markets served
FE fundinfo business model
Business model- GTM type
- B2B
- Offering type
- Software
- Cost components
- Personnel, Technology or R&D, Operations, Marketing or Sales, Infrastructure
Revenue model
- Data Services and Platform Subscriptions: Subscription-based revenue from providing golden source fund data, regulatory intelligence, and access to the Nexus integrated platform. Pricing based on data coverage scope, regulatory services, and platform capabilities across investment managers, wealth managers and data partners.
- Regulatory Document Production: Revenue from automated regulatory document production including PRIIPs KIDs, UCITS, SFDR, TCFD reports. Generates 550,000+ regulatory documents annually and 2.5 million+ regulatory documents processed across PRIIPs EU/UK and KIID.
- Data Distribution and Feeds: Revenue from distributing validated fund data and documents through dissemination network to platforms, regulators and distributors. Connects 4,200 firms across distribution network.
- Investment Analytics and Research: Revenue from FE Analytics platform providing fund research, portfolio analysis, and investment decision tools. Includes FinXL for sector insights and fund value assessments.
Pricing tiers
| Model | Billing | Price |
|---|---|---|
| Subscription | Annual | Enterprise pricing for investment managers and institutional clients |
Go-to-market motion2 records
Distribution channels5 records
Marketing channels8 records
FE fundinfo product offering
Product offeringCore offering
FE fundinfo operates the Nexus platform as the golden source of investment product data, covering 100,000+ active funds and 300,000+ share classes, with automated data ingestion, validation and AI-embedded workflows. It provides regulatory document production (PRIIPs, UCITS, SFDR, TCFD), global fund registration and filing, data feeds, dissemination to platforms and regulators, and analytics tools such as FE Analytics, FE CashCalc and Command Deck for investment managers, wealth managers, advisers, platforms and technology partners across 75+ jurisdictions.
Product overview
FE fundinfo operates as a unified platform-plus-modules architecture centred on the Nexus platform, which serves as the golden source of investment data connecting the entire investment product lifecycle. Nexus integrates AI-embedded workflows across data collection, regulatory compliance, analytics, and distribution, supported by a sophisticated data engine processing over 9 million data points monthly. The product portfolio spans three interconnected layers: (1) Data Management products including Product Mastering (formerly Fundipedia), Client Book of Record, Fee & Distribution Channel Management, and Data Feeds; (2) Regulatory Compliance solutions encompassing Fund Filing, Global Funds Registration, Regulatory Document Production (PRIIPs, UCITS, SFDR, TCFD), Regulatory Template Production, Calculations, and ESG Reporting; and (3) Investment Analytics and Engagement tools comprising FE Analytics (fund research and portfolio analysis), Command Deck (portfolio intelligence), MPS Directory, FE Investments, Tailored MPS, FE CashCalc, FE AdviserAsset, Ratings, Factsheets, Fund Centre, and Trustnet (consumer-facing platform). Supporting infrastructure includes the Data Partner Portal, Dericon (German market distribution via Sparkassen network), Digital Solutions (configurable widgets), and the Training Academy. The Nexus platform for Investment Managers connects compliance, operations, marketing and product teams; Nexus for Financial Advisers integrates with FE Analytics and FE CashCalc; and Nexus for Data Partners delivers validated data to investment and wealth managers.
Differentiator
Problem solved
Functional benefit
Brands
- Nexus: Integrated platform connecting the investment industry through trusted data and intelligent AI workflows, serving as the golden source of investment product data.
- Trustnet
- FE Analytics
- FE CashCalc
- FE AdviserAsset
- Dericon
- Command Deck
- Finscape
Products and services
- Nexus Platform Integrated end-to-end platform connecting the entire investment product lifecycle, orchestrating data exchange and AI-embedded workflows across investment managers, wealth managers and data partners.
- Product Mastering Automates fund data collection, validation and distribution with regulatory-grade accuracy, centralising static and dynamic fund data with rigorous validation rules.
- Client Book of Record Centralises client and counterparty data with automated validation, regulatory compliance and complete relationship visibility across investment management operations.
- Fee & Distribution Channel Management Streamlines distribution fee management with automated calculation, validation and transparent reporting across channels for investment managers.
- Data Feeds Provides comprehensive fund data feeds with flexible formats, automated delivery and regulatory-grade accuracy through the Data Feed Portal.
- Dissemination Distributes fund data and documents efficiently across platforms, regulators and distributors with automated workflows to accelerate time-to-market.
- Global Funds Registration Accelerates cross-border fund registration with expert support, regulatory intelligence and streamlined compliance workflows across 75+ jurisdictions.
- Fund Filing Automates regulatory filings and reporting with validated data, intelligent workflows and complete audit trails to 60+ national competent authorities.
- Regulatory Document Production Automates compliant PRIIPs, UCITS, SFDR and TCFD document production with expert validation and multi-language support across 35+ languages.
- Regulatory Template Production Generates market-standard regulatory templates with automated calculations to ensure accurate, compliant disclosures including UK CCI, SFDR and TCFD.
- Calculations Delivers consultancy-grade PRIIPs, cost transparency and performance calculations with automation across European markets.
- ESG Reporting Produces SFDR, SDR and TCFD reports and integrates financial and ESG data into fund factsheets for comprehensive ESG and climate disclosure compliance.
- Ratings Provides independent fund ratings as part of the investor engagement suite for trusted, comparable fund quality assessments.
- Factsheets Automated generation and distribution of compliant investor-facing fund factsheet marketing documents.
- Fund Centre Provides comprehensive fund research content and digital engagement capabilities with data-driven investor tools for distribution partners.
- Trustnet Investor-facing advertising and engagement platform attracting two million visitors and eight million visits annually with comprehensive research content and independent ratings.
- FE Analytics Comprehensive fund research, portfolio analysis and investment decision tools with trusted data and real-time insights for advisers and investment professionals.
- Command Deck Portfolio intelligence tool for advisers providing cashflow planning, risk profiling, performance analysis, platform data and fee monitoring with automated insights.
- MPS Directory Comprehensive managed portfolio service directory with detailed holdings, performance analysis and comparison tools for advisers and wealth managers.
- FE Investments
Quantifiable outcome
- 90% of regulatory production streamlined through automation
- +3 more outcomes
Companies that use FE fundinfo
Customer profileNamed customers1 record
Segments9 records
Ideal customer profiles3 records
FE fundinfo technology and API
TechnologyTechnology focussed Yes
API detail
- Has API
- Yes
- API docs
- API detail
Core technology
AI maturity
App detail
AI capability6 records
Feature7 records
FE fundinfo partnerships and signals
Strategic signalPartnerships
Eight partnerships are on record, tiered subsidiary and core.
- TrustnetsubsidiaryTrustnet is a subsidiary of FE fundinfo, operating as an investor-facing platform. Attracts two million visitors and eight million visits annually with 10 million+ factsheet views. Provides comprehensive research content, independent ratings and digital engagement for investors.
- DericonsubsidiaryDericon is a subsidiary of FE fundinfo, providing German distribution through the Dericon platform. Connects to Sparkassen Group network serving 50 million customers across Germany with access to more than 1.5 million investment instruments. More than 150 leading banks and global investment houses use this distribution network.
- Chant WestsubsidiaryChant West is a subsidiary of FE fundinfo, providing investment research and analytics capabilities.
- FinscapesubsidiaryFinscape is a subsidiary of FE fundinfo, providing distribution intelligence tools including UK fund flows analysis.
- ZenithsubsidiaryZenith is a subsidiary of FE fundinfo (Zenith Partners), providing investment research and platform services.
- Sparkassen GroupcoreThe Sparkassen network represents one of Europe's most influential retail banking systems, serving millions of customers through 360+ institutions. FE fundinfo's Dericon platform connects to this network enabling German fund distribution. Between 2020 and 2023, Sparkassen assets under management grew 11% to €1.38 trillion.
- Investment Manager Data PartnerscoreData partnerships with investment managers, registries and official providers enabling direct data sourcing for the golden source fund database. FE fundinfo processes over 9 million static data points, 7 million prices and 1.5 million documents monthly sourced directly from these partners.
- 60+ National Competent AuthoritiescoreRegulatory filing partnerships with 60+ National Competent Authorities enabling FE fundinfo to file 3.5 million documents to regulators annually across 75+ jurisdictions.
Scale indicators19 records
Recent moves6 records
Expansion highlights2 records
FE fundinfo competitors and assessment
Company assessmentDirect peers
- Morningstar: Largest independent provider of mutual fund data, research, ratings and analytics. Overlaps directly with FE fundinfo's FE Analytics, Ratings, and fund-data dissemination businesses, competing for investment managers, advisers and platforms globally.
- Clearwater Analytics: Cloud-native investment accounting, analytics and reporting platform serving institutional asset managers and wealth managers. Comparable to FE fundinfo's Command Deck, FE Analytics and reporting workflows, with overlapping buyer personas and recurring subscription revenue model.
- Confluence Technologies: Specialist provider of fund data management, regulatory reporting (AIFMD, Form PF, CPO-PQR) and analytics to asset managers. Closest functional overlap with FE fundinfo's Product Mastering, Fund Filing and Regulatory Document Production products.
Broad incumbents
- LSEG (Refinitiv / Lipper): Operates Lipper fund performance data and a broad financial data franchise spanning pricing, reference data and analytics. Overlaps with FE fundinfo's data feeds, fund analytics and dissemination, but as part of a much larger enterprise data and infrastructure portfolio.
- Bloomberg: Bloomberg Terminal and Enterprise Data products provide fund reference data, analytics and workflow tools used by the same investment-manager and wealth-manager buyers as FE fundinfo. Direct overlap is narrower but buyer overlap is near-total at the enterprise tier.
- MSCI: Provides ESG and climate data, index and analytics services that increasingly intersect with FE fundinfo's ESG/TCFD/SFDR reporting and analytics products. Operates as a much larger broad incumbent rather than a pure fund-data specialist.
- SS&C Technologies: Through Advent, GlobeOp and DST, SS&C offers fund administration, transfer agency and data services that intersect with FE fundinfo's fund data, regulatory reporting and distribution products, but as part of a broad enterprise software and services portfolio.
- Finastra: Large financial software vendor serving banks and asset managers with data, analytics and workflow capabilities. Overlaps with FE fundinfo's banker and platform customer segments, particularly across European and UK private/retail banking.
Emerging players
- YCharts: SaaS investment research and analytics platform focused on advisers and wealth managers. Competes with FE fundinfo's FE Analytics and Command Deck at the adviser and SMB end of the market with a more modern, US-centric interface.
- Vermilion (Client Reporting): Specialist in client reporting, factsheet production and investor communications for asset managers, overlapping directly with FE fundinfo's Factsheets, Fund Centre and Digital Solutions products.
Market position
Strengths5 records
Weaknesses5 records
Competitive moat6 records
Key risks5 records
Key highlights7 records
Customer concentration
FE fundinfo social profiles
Digital presenceFE fundinfo compliance and trust
Trust signalCompliance2 records
FE fundinfo financial estimates
Financial estimateRevenue estimate
Valuation estimate
FE fundinfo leadership team
Management profileNumber of profiles
FE fundinfo subsidiaries and ownership
Company hierarchySubsidiaries5 records
FE fundinfo funding detail
Funding detailFunding overview
Funding rounds
Investors
Funding detail is available on the Subscription and Enterprise plan.Contact sales →
FE fundinfo M&A and investment
M&A and investmentM&A
Investments
M&A and investment is available on the Subscription and Enterprise plan.Contact sales →
Frequently asked questions about FE fundinfo
What does FE fundinfo do?
FE fundinfo operates the Nexus platform as the golden source of investment product data, covering 100,000+ active funds and 300,000+ share classes, with automated data ingestion, validation and AI-embedded workflows. It provides regulatory document production (PRIIPs, UCITS, SFDR, TCFD), global fund registration and filing, data feeds, dissemination to platforms and regulators, and analytics tools such as FE Analytics, FE CashCalc and Command Deck for investment managers, wealth managers, advisers, platforms and technology partners across 75+ jurisdictions.
Is FE fundinfo a public or private company?
FE fundinfo is a private company. It is classified as unknown and is currently operating.
When was FE fundinfo founded?
FE fundinfo was founded in 1994. It employs 501 to 1,000 people.
Where is FE fundinfo based?
FE fundinfo is headquartered in London, United Kingdom, in the Europe region.
How does FE fundinfo make money?
Four revenue lines are on record. Data Services and Platform Subscriptions are the primary driver. The others are regulatory Document Production, data Distribution and Feeds and investment Analytics and Research.
Who are FE fundinfo's main competitors?
Direct peers on record are Morningstar, Clearwater Analytics and Confluence Technologies. Broad incumbents are LSEG (Refinitiv / Lipper), Bloomberg, MSCI, SS&C Technologies and Finastra. Emerging players are YCharts and Vermilion (Client Reporting).
Does FE fundinfo have an API?
Yes. Nexus offers an open platform architecture with multiple data integration methods, including API connections, database updates, XLSX file transfers, and manual data entry. The Data Feed Portal provides flexible data delivery configuration. FE fundinfo's platform enables wealth managers to connect with back-office systems, CRM platforms, and financial planning tools. Nexus integrates data from investment managers, registries, and official providers, with 90% automated ingestion. No separate public developer portal, SDK language, or explicit API versioning/rate-limit documentation identified in available sources.
What industry is FE fundinfo in?
FE fundinfo's product category is Investment Data Management Software. Its primary akta.pro industry code is FSAAAMAL, Fund Document & Data Management (Prospectus/KIID, Data Quality, Master Data), with a secondary code of FSAAAMAG, Fund Financial Reporting & Regulatory Filings (GAAP/IFRS, N-PORT/N-CEN, AIFMD/UCITS). Its NAICS code is 523940 and its SIC code is 6199.