GRE-001 monitors 180+ countries across conflict, sanctions, elections, and central bank policy — scoring your portfolio's geopolitical exposure in real-time, before the markets price it in.
By the time it makes headlines, professional traders have already repriced the move. Most asset managers operate with structural blind spots.
Sanctions announcements, election upsets, central bank pivots — the window between first signal and full market pricing is hours, not days. Reactive positioning consistently underperforms anticipatory positioning.
EU-domiciled multi-asset funds hold MENA and APAC exposure through multinationals, supply chains, and currency pairs. Standard risk models don't surface geopolitical linkage — GRE-001 does.
A single mispositioned allocation during a geopolitical inflection — sanctions expansion, regime change, emergency rate intervention — can erase carefully managed performance in days. Intelligence is insurance with upside.
GRE-001 runs continuous signal monitoring across 180+ countries, synthesizing geopolitical developments into portfolio-specific risk scores. Powered by Groq Llama 3.3 70B with Claude Sonnet escalation for CRITICAL events.
Built for asset managers who need intelligence before it's consensus — not after.
Define your portfolio geography, asset classes, and specific risk concerns. GRE-001 maps direct and indirect geopolitical exposure channels.
GRE-001 monitors 50+ live signal sources across 180+ countries — conflict intensity, sanctions flows, election calendars, central bank schedules.
Signals are synthesized into portfolio-specific risk scores (0–100) with CRITICAL/HIGH/ELEVATED/MODERATE event classification and 30-day regional delta.
Weekly brief to your inbox. Real-time alerts on CRITICAL events. Monthly board PDF. API feed for your systems. Always early — never reactive.
180+ countries scored 0–100 with 30-day delta. Filter by region, urgency, or asset class relevance. Updated continuously.
Top 5 live geopolitical events ranked by portfolio impact — CRITICAL through MODERATE — with time horizon and recommended response.
Direct and indirect exposure overlap — geography, sector, currency pair, and supply chain linkage mapped to your specific holdings profile.
Pre-event intelligence 48–96 hours ahead of consensus. Leading indicators: diplomatic language shifts, capital flow anomalies, positioning data divergence.
30-day momentum by region. Identifies risk rising vs. receding — helping you rotate into lower-volatility exposure profiles before the market does.
PDF ready for investment committee. Plain-language executive narrative + risk score evolution + three strategic recommendations. White-labeled on Growth+.
1–2 decision-makers, global allocation, no dedicated geopolitical research desk. GRE-001 is your systematic risk radar — at a fraction of a Bloomberg seat cost.
Geopolitical risk exposure is a fiduciary question. GRE-001 delivers the documented intelligence basis your compliance and client reporting demands.
High alpha targets in politically volatile regions. GRE-001 provides the systematic monitoring layer that makes concentration risk manageable — not reckless.
FX exposure, counterparty risk, and cross-border settlement all have geopolitical dimensions. GRE-001 maps your treasury's risk geography with precision.
One basis point improvement on CHF 100M AUM is CHF 100,000 per year. Starter tier is CHF 1,997/mo. The math writes itself.
For single family offices and emerging EAMs. One portfolio, systematic weekly intelligence.
For EAMs and boutique funds managing multiple client profiles across geographies.
For institutional-grade operations demanding unlimited coverage and deep integration.
Enterprise closes via call — custom onboarding included
3 complimentary scans. No credit card. GRE-001 runs a full geopolitical risk assessment tailored to your portfolio in under 15 seconds.
Enter your portfolio profile below. GRE-001 will return a 0–100 risk score, the top 3 active geopolitical events affecting your exposure, and a recommended portfolio action.
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⚠ ESTIMATED — Risk scores are AI-generated assessments based on your exposure profile and known geopolitical dynamics as of the scan date. This is not investment advice — consult qualified financial and geopolitical risk advisors before making allocation decisions.
GRE-001 synthesises intelligence from geopolitical risk frameworks (conflict intensity scoring, sanctions registries, election calendars), macroeconomic leading indicators, central bank communication analysis, diplomatic signal monitoring, and capital flow anomaly detection across 180+ countries. The AI engine synthesises these into portfolio-specific risk scores — prioritising signals most relevant to your declared exposure profile.
The score reflects the intersection of two factors: regional geopolitical intensity (how volatile is a given geography right now) and portfolio exposure overlap (how much does your declared market and asset class profile intersect with that volatility). A Swiss-domiciled fixed income fund with no EM exposure scores very differently from a concentrated MENA equity fund — the same global events produce different portfolio-level risk readings.
Bloomberg and Refinitiv provide data terminals — you still need an analyst to read and synthesise geopolitical signals into portfolio-specific implications. GRE-001 does the synthesis automatically, tailored to your specific exposure profile, and delivers actionable intelligence rather than raw data. At CHF 1,997/mo vs CHF 28,000+/yr for a Bloomberg Terminal, it is also significantly more cost-efficient for the geopolitical intelligence use case specifically.
Yes — on the Enterprise tier, GRE-001 exposes a REST API delivering risk scores, event cards, and early warning signals in JSON format. This can be ingested by portfolio management systems, risk dashboards, or internal reporting tools. The Growth tier includes webhook-style email alerts that can be routed into internal workflows. Contact us to discuss custom integration architecture.
Yes — it is specifically designed for single family offices managing CHF 50M–500M+ who do not have a dedicated geopolitical research function. A single basis point improvement on CHF 100M in AUM represents CHF 100,000 in annual performance. The Starter tier at CHF 1,997/mo positions intelligence as capital protection infrastructure, not a cost centre. The monthly board brief is ready for investment committee use without additional formatting.