ECMTerminal

Asset Managers & Funds

Market intelligence, due diligence tools, portfolio analytics, and LP reporting. The infrastructure to source, evaluate, and manage environmental assets at institutional standard.

Environmentalassetsareenteringinstitutionalportfolios.LPswantexposure.Buttheyalsowantrigor—valuationconfidence,qualityassurance,risktransparency,andreportingtheycantrust.ECMTerminalgivesfundmanagerstheintelligencetoinvestwithconvictionandtheinfrastructuretoproveit.

Market Intelligence

See supply, demand, and pricing across markets. Identify mispriced opportunities before they're obvious.

Institutional Diligence

Third-party ratings, methodology analysis, and risk scoring. Underwrite with rigor, not assumptions.

Portfolio Analytics

Real-time valuations, exposure analysis, and rebalancing tools. Know your book at all times.

LP Reporting

Performance attribution, impact metrics, and holdings disclosure. Reports that satisfy allocators.

Deal Sourcing

Source Opportunities

See the market. Find the alpha.

Supply Intelligence

Aggregated listings across developers, brokers, and secondary markets. Filter by strategy criteria.

Demand Signals

Where capital is flowing. Corporate procurement trends, compliance timelines, competitor activity.

Pricing Alpha

Proprietary models, comparable transactions, valuation benchmarks. Know when something's mispriced.

Pipeline Visibility

Project development pipelines, upcoming issuances, vintage availability. See what's coming.

Investment Diligence

Diligence & Selection

Underwrite with rigor, not assumptions.

01

Quality Assessment

Third-party ratings, methodology analysis, integrity indicators, and quality frameworks—consolidated in one view.

02

Project-Level Analysis

Additionality, permanence, leakage, verification history. The details that matter.

03

Counterparty Assessment

Developer track record, delivery history, organizational credibility.

04

Risk Scoring

Methodology risk, regulatory risk, reputational risk. Quantified and comparable.

Portfolio Analytics

Portfolio Management

Know your book. Manage your exposure.

Consolidated HoldingsPositions across vintages, methodologies, registries, asset classes. Real-time accuracy.
Valuation & Mark-to-MarketPrice your portfolio against current market data. Track NAV movements.
Risk ExposureConcentration by project type, geography, vintage, counterparty. See where you're overweight.
Rebalancing ToolsIdentify what to buy, what to sell, where to adjust.
Performance Analytics

Performance & Attribution

Understand returns. Prove value.

01

P&L Attribution

Returns by position, strategy, asset class, vintage. What's driving performance.

02

Benchmark Comparison

How you're performing against market indices and peer funds.

03

Execution Quality

Did you buy well? Analyze entry points against market pricing.

04

Time-Weighted Returns

Performance metrics that account for cash flows and portfolio changes.

Investor Communications

LP Reporting

Reporting that satisfies institutional allocators.

Performance ReportsFund-level and position-level returns, formatted for LP communications.
Impact MetricsTonnes retired, emissions covered, SDG alignment, co-benefits. The impact story, quantified.
Holdings DisclosurePortfolio composition, vintage breakdown, methodology distribution.
Risk ReportingExposure analysis, concentration metrics, quality distribution. Transparency LPs expect.
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Help & Support

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DeployCapitalwithConviction

Sourceopportunities,diligencewithrigor,anddeliverthereportingLPsexpect.