SFIS® Platform
An institutional intelligence platform for transforming space asset data into defensible underwriting and capital allocation decisions.
Ingest, score, model. Each layer is auditable, backtested, and calibrated against historical satellite operator outcomes.
Automated pipelines from Space-Track (orbital tracking), CelesTrak SATCAT (satellite catalog), SEC EDGAR (financial filings), and proprietary NLP extraction from earnings calls, insurance filings, and regulatory submissions. 881 assets across 52 operators. No manual data entry.
Seven-factor scoring: mission parameters, orbital decay rates, conjunction frequency, spectrum allocation, operator financial health, regulatory compliance, and insurance coverage. Bayesian network model maps technical risk cascades to financial covenant breach. Back-tested against 30 historical cases with 100% recall.
Probability of default at the asset level. Correlation modelling across orbital shells and operator portfolios. Concentration analysis for constellation exposure. Stress testing for launch delay, orbital congestion, and regulatory scenarios. Outputs structured for Basel III, Solvency II, and IFRS 9 reporting workflows.
Risk distribution across 881 scored assets. Calibrated against 30 historical satellite operator outcomes.
Expanding. Continuous fleet discovery and operator onboarding across all orbital regimes.
SR 11-7 compliant backtesting against 30 historical satellite operator outcomes, including Iridium (1999), Globalstar (2002), LightSquared (2012), OneWeb (2020), and Intelsat (2020).
Standardised risk evaluation across diverse space infrastructure assets. Compare operators across orbits, geographies, and business models using a consistent analytical framework.
Finance-grade inputs for capital structure and pricing decisions. Orbital risk is quantified and translated into the discount rate adjustments that institutional models require.
Greater certainty when deploying long-term capital. Default probability curves and credit banding provide the analytical foundation for both lending and investment decisions.
Investment committee-ready analysis on demand. Risk memos, credit summaries, and portfolio reports generated from live data rather than manual research cycles.
SFIS® supports institutional capital allocation across the full investment lifecycle.
Five orbital regimes. Continuous fleet discovery and operator onboarding.
WACC-adjusted discount rates for orbital infrastructure DCF models. Portfolio-level risk monitoring across LEO, MEO, GEO, and cislunar.
Learn moreAsset-level default probability curves. Solvency II SCR and Basel III capital reserves. IC-ready risk memos on demand.
Learn moreOperator comparison and credit band assessment with market intelligence for portfolio decisions.
Learn moreInvestor-ready risk profiles built on institutional methodology. Comparable assessment across orbital regimes.
Learn moreSFIS® is currently available to a limited group of institutional partners.
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