Jupiter RiskSignal
For portfolio and asset-level physical risk analysis
Map what’s at risk. Then price it.
%20(1).webp)
.webp)
Know where your risk is rising
Assess multi-peril exposure for every asset in your portfolio, with projections extending to 2100 in 5-year steps. See how acute and chronic risks evolve over time, backed by 22,000+ data points per location.
High-resolution, forward-looking models help you pinpoint vulnerable assets early and compare exposure consistently across countries and regions.
Scenario-based outputs reveal how risk evolves over time, supporting stress tests, credit reviews, and capital allocation decisions.
Reveal financial exposure across time
Link peril metrics to financial impact indicators that matter for banks, insurers, and institutional investors. Quantify how physical risk may influence operational continuity, collateral quality, insurance availability, or long-term asset value.
Forward-looking loss and disruption insights strengthen pricing, provisioning, and expected-loss modeling.
Clear pathways from risk exposure to financial outcomes help you justify decisions to MRM, regulators, boards, and external stakeholders.
Use cases
- Stress Testing
- Risk assessment and management
- Portfolio and asset management
- Due diligence and underwriting
- Market value analysis
- Corporate guidance
- Resiliency planning and engineering
- Supply chain risk assessment
- Regulatory response and disclosure