Portfolio Analytics

Investment opportunity analysis across 29 investable cases (9 Prime, 20 Strategic, 0 Monitor)

Total Expected Value
$8.10B
Across 29 investable cases
Avg Win Probability
65%
Portfolio-weighted average
Avg Investment Score
81/100
Quality metric across portfolio
Risk Exposure
41%
12 of 29 cases with red flags

Investment Tier Distribution

Prime Tier
9 cases
Expected Value: $4.27B (53%)
Strategic Tier
20 cases
Expected Value: $3.83B (47%)

Case Type Distribution

Climate Damages17 cases
59% of portfolio • $4.43B expected value
Climate Deception9 cases
31% of portfolio • $2.76B expected value
Climate Damages (RICO)2 cases
7% of portfolio • $0.30B expected value
Climate Deception (Antitrust)1 cases
3% of portfolio • $0.60B expected value
Total: 29 cases across 4 case types

Geographic Distribution

California
Cases:3
Expected Value:$1225M
Avg Score:89/100
10.3% of portfolio
Maryland
Cases:3
Expected Value:$450M
Avg Score:75/100
10.3% of portfolio
Hawai'i
Cases:2
Expected Value:$325M
Avg Score:81/100
6.9% of portfolio
New Jersey
Cases:2
Expected Value:$1025M
Avg Score:79/100
6.9% of portfolio
Colorado
Cases:2
Expected Value:$60M
Avg Score:78/100
6.9% of portfolio
Puerto Rico
Cases:2
Expected Value:$300M
Avg Score:78/100
6.9% of portfolio
Total: 29 cases across 20 jurisdictions (showing top 6)