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Investors & decision-makers

Making high-stakes capital and policy decisions defensible over time

SOLV integrates stakeholder risk, regulatory context, and scenario logic directly into investment and decision processes.

Good decisions are not only about choosing an option. They are about being able to explain, defend, and sustain that choice years later.

You recognise this pattern

Spreadsheets compare financial metrics. Briefings summarise arguments. Neither provides a consistent view of stakeholder acceptance, regulatory friction, or political exposure. By the time friction becomes visible, capital is already committed and positions are hardened.

What SOLV changes for you

SOLV structures options into living portfolios and decision sets that combine financial, technical, and stakeholder risk dimensions. You can test scenarios before committing, compare trade-offs explicitly, and revisit assumptions as conditions evolve.

The control you need

1

Compare options beyond IRR

2

Stress-test scenarios against stakeholder acceptance

3

Explore trade-offs under different constraints

4

Maintain traceable decision logic for IC, board, and public scrutiny

What you get

Living portfolios of options

Multi-criteria scoring across cost, impact, and stakeholder risk

Optimiser-supported allocation under constraints

Full audit trail of sources, assumptions, and rationale

Where it matters most