SmartModels logo

SmartModels

by Intutive Analytics · Since 2005
No reviews yet
Active1+ countriesCloud
Quick facts
VendorIntutive Analytics
Year launched2005
StatusActive
Location190 N 10th Street, Suite 313, Brooklyn, New York 11211, US
Countries served1+
Languages1
Integrations
Free tier
Free trial
Contact salesYES

About SmartModels

SmartModels is a financial decision tool software from Intuitive Analytics designed for financial decision makers. It provides features such as Contact Us, Articles, Client Login, For Public Finance, and For Muni Investors so users can access valuable resources and support tailored to their needs. SmartModels is designed to assist in making informed financial decisions with relevant data and insights. The platform caters to a variety of user needs, whether for public finance or municipal investing, ensuring that users have the necessary tools at their disposal. Key capabilities: Contact Us Articles Client Login For Public Finance For Muni Investors Best for: financial decision makers that need tools for effective financial analysis and decision-making.

SmartModels™ by Intuitive Analytics is a powerful, highly specialized financial analytics suite designed to be the "intellectual capital" for public finance professionals. Its strength lies in its unmatched accuracy for complex debt structuring and refunding analysis, utilizing patented algorithms (like the calculation of TrueCost and RAY) to drive objective, confident capital market decisions. Seamlessly integrated as a Microsoft Excel add-in, it turbo-charges efficiency, allowing users to reduce time spent on routine data management by up to 90%. While its cost structure is opaque and its focus is niche (primarily US public finance), its robust security, 24/7 support, and superior risk-modeling capabilities make it an indispensable, industry-specific analytical tool for investment bankers, financial advisors, and municipalities seeking best-in-class risk management.

Pros & Cons

What users like
  • +Ensures a secure environment for monitoring usage, license management, and secure software updates.
  • +It enables deep, reliable Cash Flow at Risk (CFaR) and optimal fixed/floating structuring analysis.
  • +Reduces the time spent on data management and debt profiling
  • +Provides debt service and capital cost accuracy
What users flag
  • The software is intensely focused on public and municipal finance
  • It requires significant training and a strong financial background to master its advanced modules.
  • Pricing requires custom-quote

Features

Key features

Refunding Adjusted Yield (RAY) and TrueCost Solutions
Provides the only bond structuring analysis that accounts for the issuer's actual refunding criteria, determining the True Cost of callable bonds where traditional software fails to do so.
Best-in-Class Simulation and Optimization
Utilizes patented financial engineering and optimization algorithms for deep dives into bond structuring and sophisticated risk analysis, giving users an intellectual capital advantage.
Automated Debt Profiling
Offers time-saving analytics to swiftly handle the basics of debt profiling and refund monitoring, significantly reducing the manual effort required in managing data and debt profiles.
Expected Present Value (EPV) Savings
Calculates the expected value and savings of refunding analyses using advanced multi-market yield curve models, crucial for decision-making by VPs and Managing Directors.

Additional features

Structure™ and Escrow™ Modeling
Provides real deal structuring capabilities, allowing users to model complex bond structures and escrow accounts with precision.
Calibrator Module
Assists users new to market risk modeling by generating market model parameters from historical data or forecasts, delivered intuitively for use in other models.
Curves Module
Manages bond and derivative instrument risk by conducting yield curve factor analysis, helping analysts determine effective hedge strategies over a selected horizon.
Corporate and Fixed Income Risk Modeling
Allows corporations to model their entire operation, including interest rate, supplier, and demand risk, to see a complete probability breakdown of corporate performance.
SmartModels Investor
A full-featured tool for investment analysis, providing traditional portfolio metrics along with multi-period asset simulation and optimization techniques to mitigate risk.
Stage I, II, and III Applications
Integrated programs that define a new standard for public finance decision-making, offering powerful cash flow and asset/liability analytics with low operational overhead.

Pricing

Free trial
Free version
Request a quote
Promo Offer

Countries & Languages

1
Countries served
1
Interface languages
1
Billing currencies

Available in

United States

Interface languages

English

Billing currencies

🇺🇸USD

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