Investment teams can configure inputs, adjust timelines, and run comparative cases to understand the financial and operational impact of strategic decisions before execution. The result is a unified forecasting environment that replaces spreadsheet-driven workflows with consistent, repeatable, and defensible scenario analysis across the portfolio.
Combine Asset and Debt Scenarios to forecast net distributable cashflow across your portfolio. Compare multiple scenarios, analyze KPIs like cash-on-cash returns and equity multiples, and identify decisions that maximize returns.