Take a deeper and personalized look at your financial, economic, and social environment.
Integrate data, our models and technology to improve performance.
Software solutions to organize and automate your financial reporting and planning process, using robust forecasting techniques.
Go further, and improve customer experience and satisfaction with our web, native and hybrid App
Take the next level, analyze your portfolio performance and implement automated optimization strategies for going forward.
Economics and Machine Learning if you need a more quantitative understanding of what’s driving your performance, a precise sense of possible outcomes, and automated alternatives to go forward.
What is more likely to be affecting performance?
Identify the drivers who affect the performance with precision.
What is more likely to happen if I keep the same strategy?
Calculate the most probable scenario.
What is more likely to happen if I choose among strategies?
Simulate strategies and outcomes.
What is more likely to be the best strategy?
Take the best alternative after quantifying possible outcomes.
Quantitative tools, research and technology applied to the management of your credit portfolio, to optimize returns.
Portfolio Management experience, research, and Machine Learning, combined to help optimize performance.
Scores for your entire credit cycle, using portfolio management experience and Machine Learning techniques.
Expected Loss models in compliance with IFRS 9, Basel and Regulatory Standards and designed according to your portfolio characteristics.
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