With our Explainable AI approach, we combine and interpret 400 unique variables to offer accurate predictions on Rating Transitions for a 12 month horizon.
Reduce risk ・ Save time ・ Act first
By analyzing the right metrics, Scorable helps portfolio managers take the best investment decision.
Our explainable machine learning algorithms combine and interpret both qualitative and quantitative data, giving investment professionals a holistic view on all credit-relevant events.
On top of that, Scorable predicts the probabilities for corporate issuer downgrades 12 months in advance.
Since founding Scorable in 2018, our team has been striving to change the way asset managers analyze data, manage risk and outperform the bond markets.
To bring this project to reality, we have combined the fixed income expertise from one of the largest insurance groups in Europe, the technology skills of top machine learning experts and the experience of one of the world’s leading consulting firms.
With our Explainable AI approach, we combine and interpret 400 unique variables to offer accurate predictions on Rating Transitions for a 12 month horizon.
Scorable provides comprehensive issuer insights via an intuitive interface, helping portfolio managers make the best investment decisions.
Together with our Alerts functionality, this works to protect your portfolio, while Relative Value analysis helps you discover investment opportunities in the market.
For asset managers, the impact of the Covid-19 pandemic accelerated the need to transform business models and processes to deal with the demanding environment. To stay competitive, intelligent automation is necessary and can be achieved through advanced technology and AI.
AI is often considered a threat to skilled jobs, especially in finance, but it is above all a tool to help make sound investment decisions.
AI can help reduce the impact of human biases and fears in setting the pulse of financial markets.
Creates innovative one-stop platform for asset & wealth managers to fully automate and optimize portfolio management and research process