Wilshire is a leading worldwide provider of advanced fixed income analytics to portfolio managers, insurance companies, fund sponsors and financial intermediaries. We deliver expertise, proprietary systems, proprietary analytical models and integrated data feeds that allow our clients to model fixed income portfolios in the context of the global fixed income markets. Our sophisticated models provide complete coverage for fixed income asset types, including credit and other complex structured securities and derivatives. Wilshire also provides asset valuation services for illiquid securities. Whether analyzing the contribution of individual securities to total portfolio behavior or building multi-manager structures, Wilshire provides clients with the tools to conduct in depth analysis including robust global fixed income risk models, flexible daily performance attribution (both factor and returns based), daily security and index pricing, simulation, derivative analysis and much more.