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Key Features of the JIM

The JIM is built to give financial institutions a consistent and transparent way to measure the wider impacts of their investments. It ensures results are comparable across portfolios, secure, and based on the latest economic data.

Harmonized

Standardized methodology and assumptions across all users.

User-operated

Institutions can upload data and generate results directly.

Transparent

​Clear publication of methods, assumptions, and limitations.

Up-to-date

On the most recent macroeconomic statistics.

Collaborative

Model improvements are shared and shaped by user input.

Secure

Cloud-based platform with no local storage of sensitive data.

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