CRT Platform
Purpose built for a niche market
While CRT transactions represent a niche class of the structured credit market, they still deserve a dedicated software solution. Our platform is purpose-built for CRT practitioners and designed to evolve in line with their needs.
Features
Data Management
Managing large CRT credit portfolios and transactional parameters requires robust data handling. Our platform balances structure with flexibility.
Transaction Based
Data is organized around individual transactions.
Standardized
Core parameters such as portfolio data and securitization terms are captured in predefined fields.
Flexible
Additional data can be organized through a flexible data room offering custom directory layouts.
Buy-Side Modelling
Understanding CRT risk profiles is vital for deal success. Our modelling engine simplifies complexity, focusing on core metrics to deliver actionable insights.
Intuitive
Provides user-friendly interfaces for convenient data provision and modelling.
Insightful
Yields key performance indicators such as internal rate of return (IRR), loss distribution estimates and associated risk metrics.
Flexible
Allows you to run different scenarios or export results and data directly for further processing, offering maximum flexibility.
Resource Sharing
In a relationship-driven market such as CRT, effective information exchange is vital. Our platform ensures seamless and controlled sharing.
Seamless
An email address is all you need to share resources in a structured way.
Controlled
Intuitive access overview pages allow for controlled management of transaction credentials.
Streamlined
Shared data is readily available for internal processing or direct use in the simulation engine, ensuring maximum convenience.
Use Cases
Different roles, one platform
Explore how our platform serves different CRT market participants.
Superior Data Management
Issuers gain a predefined data framework that structures transactions, with dedicated data rooms adding flexibility where needed.
Streamlined Collaboration
Cleanly structured data can be conveniently shared with selected investors in a secure, controlled way, with clear visibility into teams and corresponding contact details.
Independent Risk Analysis
Issuers can tap into an independent buy-side simulation engine to conveniently run simulations for investment performance, embedding results to strengthen their transaction narrative and secure better deal terms.