Cinematic 3D financial analytics interface showing high-density data matrix nodes in navy blue with warm gold heatmaps
Cinematic 3D financial analytics interface showing high-density data matrix nodes in navy blue with warm gold heatmaps

Risk Intelligence Suite

Specialized Platforms Covering the Risks Traditional Data Misses

Climate transition, credit, liquidity, geopolitics, and capital flows — each platform turns a specific blind spot into a monitorable signal.

Core Risk Intelligence Platforms

ClimateLens

NetZeroLens

GreenBondIQ

LiquidityPulse

Firm-level, explainable corporate transition-risk scores built from global disclosure, regulatory, and emissions data.

Measure portfolio alignment with science-based net-zero pathways using firm-level emissions and transition data.

Pricing, credibility, and impact analytics for green, social, and sustainability-linked bonds worldwide.

Real-time liquidity and funding-risk analytics and early-warning signals across the global banking sector.

FlowSignal

Track institutional fund flows, herding behaviour, and sustainability classification across global markets.

GeoRiskIndex

CovenantIQ

DistressWatch

Monitor covenant headroom, liquidity buffers, and capital call commitments across volatile market conditions.

Extracted, structured, and benchmarked covenant data for syndicated and private credit markets.

Predictive corporate distress and recovery-rate analytics incorporating insolvency-law regime effects.

Extended Coverage

Enterprise Risk & Exposure Modules

Private Credit Intelligence

Supply Chain Risk Monitor

Systemic Counterparty Risk

Regulatory Capital & Stressing

Evaluate illiquid credit performance, shadow default probabilities, and facility-level cash flow strain.

Map multi-tier operational dependencies and critical vulnerability vectors across global supply networks.

Expose hidden inter-institutional linkages and derivative contagion risks before market stress escalates.

Automate Basel IV and Solvency II capital requirement stress tests across complex portfolio structures.