Model the portfolio before you build it.
Probabilistic simulation across asset stack, tariff scenarios and grid conditions, before a single piece of kit is ordered.
Three modules. One decision layer.
Plan
Sizing and yield across every asset class. Outputs ROI, IRR, payback period, peak coverage and carbon avoided.
Carbon
Scope 2 and Scope 3 tracking, Guarantees of Origin, REGO, CSRD, SECR and TCFD reporting. Evidence is prepared for regulator audit. No certification is held.
Sensitivity
Monte Carlo across price, weather, demand and regulation. Names the dominant risk driver before capital commits.
What you can model
- Battery sizing with chemistry, cycle and warranty constraints
- Solar yield at site resolution against 30 year historical irradiance
- Multi vehicle EV fleet ramps with departure aware charging windows
- V2G revenue across local DNO flex and wholesale. Capacity market modelled, not held
- Heat pump retrofit against the comfort envelope and tariff window
- Microgrid resilience under N-1 and N-2 fault scenarios
The AmpVerve suite
Plan
Decide whether and what to build.
MarketsMake owned assets earn.
OperateRun the energy business.
Every product ships under your own brand if you want it. See the delivery model