
Confidently validate valuation assumptions
Private market deal performance and valuation multiples are elusive yet essential when valuing unlisted assets. Transaction Intelligence enables you to analyze a large set of private market deals and the operating metrics of their underlying assets using a taxonomy of over 200+ tags to support your valuation assumptions.

Improve risk monitoring
Providing transparency on what drives portfolio decisions and performance is becoming paramount, as pressure continues to grow from regulators, investors, and auditors. Transaction Intelligence helps you ensure your valuation policies are based on real market conditions. With the ability to build custom benchmarks, you can analyze subsets of deals that match your criteria using filters such as size, region, strategy, dates, performance, and asset operating metrics.

Enhance due diligence
To effectively assess market conditions, you need a whole-of-market view – including data on valuation multiples, leverage used in deals, and loss ratios across markets, sectors, and strategies. Transaction Intelligence covers $5.4tn of invested capital, representing 68,200+ private market deals from 7,000+ funds, enabling you to make informed decisions when investing in private markets.

Analyze fair value adjustments
Bring more transparency to asset pricing by better understanding fair value adjustments. Transaction Intelligence helps you understand whether adjustments made to private asset valuations are in line with the rest of the market. Benchmark fair value adjustments against a selected cohort of transactions to ensure valuations are accurate, reliable, and defensible.

Save valuable time and resources
Building and updating customized performance reports is time-consuming. Transaction Intelligence enables you to produce highly tailored portfolio reports in minutes, using powerful and standardized outputs and analytics. These reports include pre-built box plots, risk return, TVPI composition, loss ratio, multiple trends, and correlation analysis charts. You can also refresh and export these charts and their data to populate reports.
Why Transaction Intelligence?
68.2k
deals (80% since 2010)
$5.4tn
invested capital
7,000
funds
Preqin extracts data directly from fund manager portfolio reports, then aggregates and anonymizes it to create the most up-to-date, reliable, and complete repository of transaction intelligence, covering:
Extensive granularity across:
Industry
Geography
Deal date / exit date
Invested capital
Deal type / asset class / exit
Deal performance metrics
Assets operating and performance metrics
Holding period realized growth operating metrics
Comprehensive asset class coverage:
Private equity
Venture capital
Private debt
Real estate
Infrastructure
Available performance metrics:
Average and median TVPI, DPI, RVPI, IRR
Average and median Entry EV/revenue, Entry EV/EBITDA, Loan to value entry %, Net debt/EBITDA valuation at entry, entry for realised deals only, and exit.
Median Revenue growth, EDITDA growth, Net debt growth, EV growth entry to exit operating metrics growth.
Explore the insights behind Transaction Intelligence
The increased political and regulatory scrutiny on private capital has sparked more conversations about valuations, leverage on leverage, and capital distributions from investors. Over the last year regulators globally, including the SEC and FCA, have launched reviews into transparency and valuation practices for private market strategies.

Watch the webinar on demand to get exclusive insights on:
The regulatory landscape and its potential impacts on private capital
The growth of fund finance and its impact on valuations
Best practices for more accurate valuations and fairer assurance policies
The importance of reliable transaction data and analytics when valuing private assets
Making asset-level and deal-level data more transparent in private markets
Collected at the source
Data is sourced from GP reports sent to LPs which include cashflow notices, PCAP, and quarterly reports.
Verified and curated
Processed by our team of experts with accounting backgrounds, following direct validation and reconciliation processes.
Fully protected
The data is then aggregated and anonymized to ensure no individual fund or portfolio company can be identified while still maintaining a minimum threshold required to provide reliable benchmarks.
Regularly updated
With certain datapoints updated quarterly and others daily, a monthly refresh of the dataset provides you with the most up-to-date and reliable transaction intelligence.
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