Asset planning: Using adhoc methods and systems to plan illiquid + liquid investments?
Are you using spreadsheets and/or adhoc systems to estimate illiquid cash flows and then trying to combine them with liquid cash flows to plan, stress-tests, etc? Our system can make this a seamless and uniform process from an estimation, modeling, processing and systems perspective.

Our research – for developing a mathematically sound method for forecasting and stressing combined cashflows.

Let us build your complete cashflow profiles!