Tools and Features

The Novia Global Europe Platform offers a robust suite of tools designed for seamless investment management.

Our tools, developed in partnership with leading industry experts, simplify the investment process by reducing paperwork and eliminating redundant data, enhancing efficiency and accuracy.

These tools empower advisers, private banks and trust companies to generate comprehensive reports, construct diversified portfolios and conduct investment reviews.

Clients can access vital documents and detailed investment through our custom web application, available anytime on smartphones, tablets or computers.

Explore our tools by clicking on the options below.


Risk Profiler

Risk Profiler

You are able to use our Risk Profiler as part of your fact find process.


Asset Selection

Asset Selection

Our asset selector offers a range of filters that can be used to displayed the most relevant assets.


Fund Information - Documents and Downloads

Fund Information - Documents and Downloads

Users of the Novia Global Europe platform have access to information on a comprehensive range of funds.


Fund Comparison Tool

Fund Comparison Tool

To help with fund selection we have also included a comparison tool.


Portfolio Scanner (P-Scan)

Portfolio Scanner (P-Scan)

We give our users the ability to "drill down" in portfolios to analyse their asset allocation, geographical/sector split, return compared to benchmarks and risk rating.


Fund Charting

Fund Charting

Our Fund Charting tool allows Advisers, Private Banks and Trust Companies to monitor the performance of selected funds over a choice of time periods and compare these to other funds and benchmarks, such as sector averages and indices.


Model Portfolio Manager

Model Portfolio Manager

Our Model Portfolio Manager (MPM) tool enables our users to take full administrative control over their model portfolios, creating and managing them online.


Portfolio Performance Review

Portfolio Performance Review

This tool looks at the performance of a client's portfolio taking into account the client's actual cash flow and works out the rate of return earned on the client's money.