Alpha-Klima enables institutions to quantify the effectiveness and financial impact of adaptation measures before implementation, supporting informed investment decisions and resilient long-term strategies.
Evaluate how proposed adaptation measures reduce physical risk and financial losses under multiple climate scenarios.
Compare adaptation options based on risk reduction, cost-effectiveness, and long-term financial performance.
Support forward-looking resilience strategies with quantitative, scenario-based evidence.
Quantitative evaluation of adaptation measures before implementation, measuring avoided losses and residual risk.
Assess the financial efficiency of adaptation investments by comparing implementation costs against expected risk reduction.
Test adaptation performance across climate pathways, time horizons, and assumptions.
Clear, comparable results designed to support investment committees, risk teams, and strategic decision-makers.

Built to support evolving regulatory frameworks, translating climate risk analysis into compliant disclosures and supervisory-ready documentation.
Assess adaptation performance across multiple climate pathways and time horizons to understand uncertainty and future risk reduction.
Quantify avoided losses, residual risk, and cost-effectiveness to support robust, forward-looking investment decisions.
Transparent methodologies and documented assumptions ensure consistent, accountable, and audit-ready adaptation analysis.

Quantify how adaptation measures reduce hazard exposure, vulnerability, and expected financial losses.

Understand the impact of adaptation on asset value, cash flows, and long-term portfolio resilience.

Provide quantitative justification for adaptation investments aligned with risk and sustainability strategies.