What happens if inflation runs higher than forecasts? If the forecast revenue shifts? If costs overrun?
Stop waiting for an analyst to rebuild a scenario in Excel. Stress-test any assumption and see the impact on IRR, valuation, coverage ratios, and cash yield in seconds. With full governance and audit trail.
The scenario bottleneck.
The bottleneck is time and access, not analytical capability.
“"Can you run a downside on inflation for the IC pack?"”
Today that means an analyst opens the model, manually adjusts assumptions, re-runs the calculation, extracts the outputs, formats them, and emails them over. It takes hours. Sometimes days. The IC meeting is tomorrow.
“"What's the impact on covenant headroom if volumes drop?"”
A straightforward question with a complex answer, because the model is the only place that answer lives, and only two people know how to operate it. The knowledge bottleneck is the real risk.
“"We adopted a scenario last quarter. What was the rationale?"”
If the answer requires digging through email chains and old spreadsheet versions, governance has already failed. Every scenario decision should be traceable automatically.
See it live
From assumption to answer in under a minute.
Watch how a user selects an input variable, sets a stress value, runs a bespoke scenario, reviews the impact across every key metric, and adopts or rejects the case. Without ever opening Excel.
Pre-built stress tests
Instant visibility into what moves your returns.
Every investment comes with standard sensitivity analysis out of the box. A single tornado chart shows the impact of movements across cash yield, fair value, and IRR. No setup, no manual re-runs. The sensitivities update automatically with each new period.
Governance built in
Every scenario decision is recorded.
Once reviewed, adopt the bespoke case as the new working basis or reject it. Either way, Origin Zero logs the decision: which assumptions changed, who ran it, who approved it, the analyst's written overview, and any reference files. A full sign-off chain from analyst through to investment director.
Complete picture
One scenario. Every metric. Instantly.
Every scenario returns the full performance fingerprint: IRR, MOIC, LLCR, ADSCR, and fair value, all compared against base case. Immediately assess whether a stress scenario breaches covenants, erodes returns below hurdle, or moves valuation beyond materiality. One view, no assembly required.
The impact
What changes when scenarios are instant and governed.
IC preparation shrinks from days to minutes.
The most common pre-IC request is 'run me a downside.' When that takes minutes instead of days, packs are more current and discussions more informed.
Proactive risk management
When scenario analysis is self-serve, teams test assumptions as market conditions shift. Ahead of problems, not after them.
Analyst capacity is recovered.
Every scenario a director runs independently is one fewer interruption. Across a multi-asset portfolio with quarterly cycles, reclaimed time compounds fast.
Every decision has a paper trail.
Regulators, auditors, and LPs expect defensible evidence for stress-testing. The adopt/reject workflow with sign-off chains delivers this by default.
Test the assumptions that keep you up at night.
Book a walkthrough and we'll run a live scenario using demonstration data, or connect your own model and see real results in minutes.