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Our Value Proposition:


MonJa’s investment analytics tools help enhance our clients’ fund returns and reduce their portfolio delinquencies. With our loan selection strategy and portfolio analytics, marketplace lending investors can significantly improve their portfolio performance.


Performance Attribution:

Features:
– Visualization interface presenting sources of allocation & excess returns
– Standard & Custom Benchmark Comparison

Benefits:
– Understand what’s driving your returns
– Break down major attributes at the portfolio level to explain performance
– Gain ability to drill down on attribution by variables and understand relative alpha generation


Loan Scoring:

Features:
– Proprietary Profit Scoring
– Allocation Optimizer
– Customized Credit Modeling

Benefits:
– Optimally select loans according to criteria
– Combine results with hundreds of attributes to accurately model all levels of risk
– Backtesting to enhance current investment strategy


Portfolio Analytics:

Features:
– Loan pool tracking
– Platform monitoring
– Vintage cash flow projections

Benefits:
– Real-time analysis to monitor your loan portfolio holdings and performance
– Top-down dashboard to see trends and key metrics with the ability to drill down by grade, term, and platform
– Clean and aggregate different data fields for standard comparison
– Produce dynamic and static reports (in pdf, Excel) for managed accounts without compromising data quality


Risk Management:

Features:
– Loan-level prepayment analysis
– Delinquency and expected-loss forecasting
– Scenario & Monte-Carlo stress testing

Benefits:
– Customized filters to select risk-stratified segments on your loan portfolio
– Discover and monitor the risks in your investment strategy using a full range of statistics
– Capture all the risks of borrower’s ability to default and expected loss under stress scenarios