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Europe Investment Management Software Market, Anal...

RD Code : 53451

Europe Investment Management Software Market, Analysis, Size, Share, Trends, COVID-19 Impact, and Forecast 2022 - 2028, By Deployment Type (Cloud, On-premise), By Application (Asset Management, Wealth Management, Sovereign Wealth Funds Management, Pension Funds, Personal Banking Management, Insurance Investment, Others), By End-user (SMEs, Large Enterprise, Individual, Others).

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Future Market Consulting offers the report on “Europe Investment Management Software Market” Analysis and Forecast 2021-2028. The Europe Investment Management Software market was valued at US$ 9,202.3 Million in 2021 and is projected to reach US$ 25,904.2 Million in 2028, representing an 18.8 % compound annual growth rate (CAGR) during the forecast period (2022-2028).

Managing financial assets can be challenging for portfolio managers, independent traders, and private bankers due to the lack of timely access to data, changing market trends, complex risk analysis, and time-consuming calculations. Investment management software can help deal with these challenges by automating key functions such as portfolio management, asset reporting, and accounting. Investment managers, fund managers and private wealth managers around the world use software to access real time global data, manage their client relationships, advice, portfolio and trade executions - all from one place.

Investment management software helps manage investment portfolios, audit compliance, optimize portfolio performance, and track financial assets such as stocks, futures, options, and bonds. Some of its common features include asset reporting, portfolio management, and investment tracking. The users of investment management software include traditional investment management firms, independent traders and investment advisers, and vendors of alternative investment (such as hedge funds).

Across almost every asset-intensive industry such as energy and utilities, oil and gas, manufacturing or transportation, organizations are challenged with how to maximize the value of assets throughout their lifecycle. In the days when data breaches are exponentially multiplying, the role of individual accountability in keeping the security position of an organization is hard to overstate. Risk systems and indicators are now viewed via the mesh of strategic targets. The farthest-reaching negative effects triggered by non-financial security events are the loss of the confidence of the consumers and the interest of the owners, according to many mid-level executives. Living in the age of relentless drastic change, if the companies want to stay on their feet, they require an innovative and constructive mindset to risk management. Therefore the demand for proactive anticipation of risks, increased integrity of collaboration, and agile programs of action.

IoT has helped in storage of the huge amount of data in the system. The data not only includes the management data but also confidential information. During last few years, there is a significant increase in the number of cyber-attacks which is the major hurdle for the market growth. A hacked or stolen employee device with active VPN connections for email and other applications can give access to enterprise network where the company’s data and sensitive information are stored. Moreover, the number of attacks by malicious software like spyware, ransomware, and virus is increasing in various devices. According to Symantec’s Internet Security Threat Report 2018, the number of new malware variants for mobile has increased by 54% in 2017. A recent study by Ponemon Institute’s ‘Cost of a Data Breach 2018’ for IBM has estimated, that on an average data breach costs USD 3.86 billion to the companies worldwide.

This report gives a holistic view of the market and helps understand the market potential, market dynamics, growth opportunities, influential trends, challenges, segmental markets, geographic scenario, key trends, competitive analysis, and projections with a suitable set of methodologies and assumptions. The report provides market value for the base year 2020 and a yearly forecast till 2026 in terms of revenue (USD Million) and volume (if applicable).

The report provides value chain analysis/ supply chain analysis and PORTER’s analysis to address and prioritize the efforts and investment in the near future. The Europe Investment Management Software Market report discusses different scenarios of the Xxx Market and offers a comprehensive analysis of historical data (2016-2019), providing a detailed study on emerging trends and strategic decisions businesses take to gain adequate growth in the global market.

Europe Investment Management Software Market

Research Methodology

This report provides in-depth qualitative and quantitative analyses of the Europe Investment Management Software Market. Deep analysis and research were done during the report preparation.  We have collected key data related to the Europe Investment Management Software Market using multiple approaches. Both top-down and bottom-up approaches are used for market sizing as well as analyzing the key regional markets, dynamics, and growth trends for various segments and end-user.

Based on requirements, we conducted secondary research to identify growth trends. The secondary sources referred for the study include press releases, company annual reports, research papers, industry magazines, trade journals, government websites, and associations were also reviewed for gathering precise data. Moreover, quantitative as well as qualitative data were also extracted from paid databases, which included Reuters, Factiva, Bloomberg, One Source, and Hoovers, which proved to be useful for in-depth technical study of the market. All market estimates and forecasts have been validated through primary research. Interviews was conducted with various industry experts including managers, VPs, CEOs, and other subject matter experts. We also did a primary discussion with players in this market to reverify the data collected from our approaches.

COVID-19 Impact Analysis

The COVID-19 pandemic has significantly affected the Europe Investment Management Software market in 2020. The outbreak of COVID-19 has brought effects on many aspects, like flight cancellations, travel bans and quarantines, restaurants closed, and all indoor/outdoor events restricted. Over fifty countries declared lockdown and health emergency causing massive falling business confidence, growing panic among the population, and uncertainty about the future. All of these circumstances have severely affected production, supply chain, shipping, import & export, and other market activities. The report will include in-depth direct as well as the indirect influence of the pandemic on the market.

Regional Analysis

Germany was valued USD 2,033.7 Million in 2021 and is projected to reach USD 5,802.5 Million by 2027, at a CAGR of 19.1 %. In Germany, it has long been customary to obtain financial products from one of the countries numerous banks. The German commercial and savings banking sector is an efficient sales machine, with no significant regulations or meaningful oversight from central authorities and contentedly free of all but the most basic consumer protection rules. Investment has various dimensions, including the hiring of expert fund managers, research (of specific assets and asset classes), dealing, settlement, marketing, internal auditing, and the creation of client reports. The largest financial fund managers demonstrate all of the complexities that their size necessitates. Germany has a robust investment culture, with products ranging from superb to downright dubious; so much so that investing here should be viewed as an entrepreneurial venture, with "investor beware" as a continual and extremely serious motto. It is frequently advantageous to utilize a 'platform' to manage German investments. Investors always retain ownership of their assets, but dividends and payments from stocks, bonds, and funds are collected in an automatic and efficient manner. Most importantly, the annual fees of using a platform are modes.

Europe Investment Management Software Market

Competitive Landscape

The section highlights the key competitors in the market, with a focus on presenting an in-depth analysis into their product portfolio, financial overview, regional presence, growth strategies, SWOT Analysis. In addition, the report also covers key strategic developments of major participants involved in the market including acquisitions & mergers, new product launches, agreements, partnerships, collaborations & joint ventures, research& development, product, and regional expansion.

Market Segmentation:

Future Market Consulting provides an analysis of the key segment and each sub-segment of the Europe Investment Management Software market, along with forecasts at the global, regional, and country levels from 2021-2027. This report has segmented the market based on deployment type, application, and end-user.

By Deployment Type



By Application

Asset Management

Wealth Management

Sovereign Wealth Funds Management

Pension Funds

Personal Banking Management

Insurance Investment


By End-user


Large Enterprise



Key Companies Profile in the Report:



TransparenTech LLC

FinLab Solutions SA




Profidata Group




SS&C Tech

Regional Coverage









Rest of Europe

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