Manage your deals, forecast cash flows, identify undervalued or overvalued securities, make investment decisions, assess probability of default and estimate expected losses. Our solutions include:
Robust analytics that drive in-depth analysis of your portfolio including multi-deal scenario analysis, Monte Carlo analysis, price and yield sensitivity and cross-deal collateral analysis
Comprehensive libraries of deal waterfalls and performance data that have been scrubbed by our financial engineers to ensure accuracy so that you can conduct your own analyses
Flexible architecture that allows you to integrate our software with your other internal systems or view and modify collateral, deal waterfalls and other deal assumptions
Reliable, independent valuations of hard-to-value assets from our experienced professionals
Our tools are integrated with Moody’s Analytics credit models and macroeconomic forecasts allowing you to assess the underlying collateral and cash flows of over 6,000 securities and stress test their values under different scenarios.
Learn more about Structured Analytics & Valuation solutions