How is your portfolio performing? What about the Originator X? How much cash available do you have at Originator Y? What is the NAV of fund 1?
In a single platform, you can find the answers to the previous questions and more. Every statistics is calculated at 5 levels:
The Data surveillance module allows you to immediately control the quality of data from every source, originators, rating agencies, data providers, tec.
The engine automatically identifies data issues, performs automatic data treatments and keeps track of all the changes on the data, from algorithm, originators or human analysts.
Integrate data from any internal or external data source (company data, trade data, credit ratings, PD, LGDs, Fraud databases, etc ) to take data driven decisions that will improve your performance.
Enhance your credit risk models with additional historical data and use our ML algorithms to originate with confidence.
Uses our technology to manage different private debt investments in several underlying asset classes provided by 32+ originators in 25+ countries.
Thanks to our micro-service software architecture it was possible to obtain:
Uses our technology to assign an ESG rating on exposure in its portfolios including European and non-European SMEs
Thanks to our ability to retrieve, standardise and manage information and data from multiple sources it was possible to obtain:
Uses our technology to manage due diligence and ongoing monitoring by asset owners
Thanks to an unmatched technology solution, it was possible to obtain: