SAVi is customized for individual investment projects and portfolios. SAVi can therefore value the cost of risks, along with a range of wider externalities, that is directly material to each asset.
We customize the SAVI models to each project, portfolio, master plan or policy. We work with asset owners and their stakeholders to identify and capture the local project context, its uncertainties and its unique dynamics. We engage with our partners over several weeks to gather project-specific data, which allows us to capture and integrate all material risks and externalities that can occur across the project life span. In addition, we spend weeks on data verification and on filling in data gaps using internationally recognized sources.
The models are set up to start simulating several years prior to the commencement of the project. This is important to validate our analysis against historical data. The models’ time frames are also extended to cover a 5- to 10-year period after the project comes to an end.