Every tool built to make forecasting a household decision, not a guess.
Northlanternvkm combines data modelling, scenario testing, and risk controls into a single workflow — designed for families who want clarity before they commit capital.
What Northlanternvkm actually does
Four functions form the backbone of the platform. Each one is designed to reduce the distance between raw data and a decision your household can act on.
Portfolio Modelling
Build a structured view of holdings and contributions, then run it against historical and projected data sets to see how allocations behave under different conditions.
Scenario Testing
Adjust variables such as contribution size, timeframe, and asset mix, and compare outcomes side by side before any change is applied to a live portfolio.
Risk Tagging
Every position is classified against a consistent risk framework, so exposure is visible at a glance rather than buried in spreadsheets.
Reporting Exports
Generate a readable summary of any scenario or portfolio state, suitable for sharing between household decision-makers or an adviser.
Data Refresh Cycles
Underlying figures are updated on a defined schedule, keeping projections aligned with the most recent data available to the model.
Access Controls
Set who within a household can view, edit, or export a given portfolio, keeping shared finances organised without losing oversight.
Scenario comparison, built for real decisions
Rather than presenting a single forecast, Northlanternvkm lets you line up multiple scenarios side by side — different contribution levels, different timeframes, different allocations — so the comparison itself becomes the decision-making tool.
Each scenario is generated using the same underlying data model, which means the differences you see are driven by the assumptions you set, not by inconsistent methodology.
How the features fit together
The platform is structured as a sequence — from raw inputs to a comparable output — so households can move through a decision without needing separate tools at each stage.
Structure the portfolio
Enter current holdings and household goals. The modelling engine organises this into a baseline view ready for testing.
Run and compare scenarios
Adjust variables and generate parallel projections. Risk tags surface automatically against each scenario.
Export and decide
Produce a shareable report of the preferred scenario, with the assumptions and risk profile documented alongside it.
Exposure, ranked before it's actioned
Every asset class and scenario carries a risk classification derived from the same consistent framework. Instead of reading exposure after the fact, Northlanternvkm surfaces it at the point of comparison.
This doesn't remove risk from investing — it simply makes sure it's visible before a decision is made, not after.
See these features against your own portfolio.
Set up a household portfolio and run a first scenario to see how the platform structures your data.
No obligation. Review scenarios before you commit anything.