Institutional view that speaks your LPs' language
Consolidated portfolio
Aggregate view of N assets across N regions, M technologies (PV, wind, BESS). Drill-down by asset, region, stream.
IRR per asset + stream
For each asset: gross IRR, net IRR, payback. For BESS: MGP / MI / MSD / FCR / Capacity attribution in separate P&L.
AI scenario analysis
Ask the AI: 'what happens to portfolio if PUN drops 20%?' or 'what's the break-even of the new Lazio BESS?'. Numerical answers.
Institutional-grade reporting
Monthly report for LPs / GPs / advisory board. Excel + PDF export. Annual ESG report (CO2, GO, communities impacted).
Cross-border view (roadmap)
Q4 2026: EU markets integration for pan-European funds. Compare IT vs DE/FR/ES zones for capital allocation.
Audit-ready compliance
Full audit trail, immutable trade logs, data segregation. Compliant with tier-1 LPs due diligence (Allianz GI style).
Helios Capital: 3 assets, 3 regions, 1 platform
"AXORI gave us in 30 days what we'd have built in 12 months internally: a single portfolio view, active regulatory qualifications, AI trading optimal for each asset. For us it was a no-brainer: faster, cheaper, and with reporting ready for our investors."
For pan-European funds with assets in 5+ countries, Pexapark and Next Kraftwerke remain the better choice (scale, local presence).
For funds focused on Italy with 3-15 distributed assets, AXORI offers:
- Native Italian language (contracts, support, GSE/Terna)
- Italian MSD qualification included (Pexapark doesn't reach)
- 5-10x more accessible pricing for sub-100MW portfolios
- Italian-language AI advisor (zero competitors in IT)
A fund focused on Italian renewables?
60-min demo + simulation of your real portfolio on our platform.
Demo for funds