Private equity portfolio reporting software for governed review cycles

Prism helps private equity teams connect portfolio company context, operating metrics, report packs, approvals and investor-facing outputs in one workflow.

Portfolio management in private capital usually breaks down when teams need a clear, current view across funds, assets, valuations, commitments, cash flows and exposures. Portfolio data often lives in one workbook, valuation files somewhere else, capital activity in finance trackers and reporting logic in separate board or LP packs.

Prism is designed to replace that fragmented model with a structured portfolio layer connected to the rest of the operating platform. Portfolio oversight, deal context, CRM records, reports, approvals, investor portal activity, integrations and audit trails can all work from the same governed environment.

The result is not just a better dashboard. It is a more reliable operating base for investment, finance, operations and investor relations teams that need to understand what is owned, where value sits, where exposure is building and how portfolio information flows into reporting and decision-making.

✓ Cross-fund oversight
✓ NAV and exposure context
✓ TVPI, DPI and RVPI
✓ FX-aware reporting
✓ Scenario modelling
✓ Commitment pacing
✓ Report-ready data
KPIs
  • Portfolio NAV and AUM context
  • Commitment and unfunded exposure
  • Contribution and distribution activity
  • TVPI, DPI and RVPI indicators
  • Fund, asset and vehicle views
Allocation
  • Sector and strategy allocation
  • Regional and country exposure
  • Currency and base-currency context
  • Vintage and fund views
  • Concentration and top exposure analysis
Delta Engine
  • Asset haircut scenarios
  • Exit delay assumptions
  • Inflation and rate sensitivity
  • FX impact analysis
  • Saved scenario comparison
Value Bridge
  • Gross NAV context
  • Haircut and discount impact
  • Rate and FX movement
  • Net present value context
  • Deal-level override support
Planning
  • Planned commitments by year
  • Strategy and currency context
  • Call rate assumptions
  • Hold-period assumptions
  • Exit multiple assumptions
Forecasting
  • Projected capital calls
  • Projected distributions
  • Net cash flow outlook
  • Future NAV profile
  • Liquidity and pacing review
Exports
  • CSV and XLSX outputs
  • PDF and report exports
  • Portfolio tables and summaries
  • BI-friendly data pathways
  • Audit-aware operating context
Imports and APIs
  • Bulk CSV import
  • Field mapping workflows
  • API-key ingest
  • Outbound webhooks
  • Finance and data workflow support
ESG and Impact
Custom Fields
Tenant Experience
Deployment

Why portfolio management matters in Prism

Most portfolio teams are not short on data. They are short on control, consistency and time. The real problem is that portfolio information is scattered across too many files, owners, templates and systems.

Prism gives firms a way to bring portfolio overview, analytics, scenario modelling, look-through exposure, commitment pacing, reporting, data exchange, capital activity, economics and governance into one connected operating environment.

For private capital managers, that means fewer reconciliation cycles, fewer fragile spreadsheets, cleaner internal processes, stronger reporting and a portfolio view that is usable day to day rather than only at reporting deadlines.