Neutral, decision-grade intelligence to benchmark, monitor, and price borrower credit risk across the lower middle market.

Rebalance portfolios, manage concentration risk, and spot early borrower issues using decision-grade market signals.
Proprietary scoring across liquidity, solvency, and financial performance metrics per business.
A single 0-1000 score backed by verified datasets, continuous benchmarks, and confidence bands.

Measure your borrowers against peers, sectors, and market distributions
Understand relative value and risk before pricing or engaging. Take action on your positions before it is too late.

We don’t publish pricing. Typical agreements are annual, with bespoke terms designed around your portfolio usage and support needs. Qualifying funds can also access an exclusive 90-day evaluation agreement tailored to your portfolio.
Here is what you will receive: