90% faster valuation
AI agent for Secondaries Investors
Price LP interests with precision and speed
Delegate the complex task of LP interest valuation to a specialized AI agent. It extracts NAV data from fund reports, identifies relevant market benchmarks, analyzes comparable transactions, and generates comprehensive pricing models, allowing your investment team to focus on deal sourcing and negotiation.

Ideal for
Secondaries Funds
Fund of Funds
LP Advisory Teams
Time comparison
Traditional way
3-5 days per interest
With V7 Go agents
2-4 hours
Average time saved
90%
Why V7 Go
Analyzes fund reports and market data
To deliver comprehensive LP interest valuations.



Import your files
Snowflake
,
Microsoft Excel
,
Salesforce
Import your files from whereever they are currently stored
All types of Finance documents supported
Once imported our system extracts and organises the essentials
Connect AI to your pricing methodology.
Finance
•
Legal
•
Insurance
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Tax
•
Real Estate
Answers
What you need to know about our
AI agent for Secondaries Investors
How does the agent handle different NAV report formats?
The agent is designed to process NAV reports from any fund administrator or GP, regardless of format. It uses advanced document understanding to locate and extract key data points from tables, charts, and narrative sections, even when reports use non-standard layouts.
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Where does the agent source comparable transaction data?
The agent can connect to your firm's proprietary transaction database, industry data providers, or public market sources. You control which data sources are used to ensure pricing analysis reflects your firm's specific market intelligence and methodology.
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Can it analyze funds with complex portfolio structures?
Yes. The agent handles multi-strategy funds, funds-of-funds, and portfolios with diverse asset classes. It breaks down complex structures into component parts, values each segment appropriately, and aggregates the analysis into a comprehensive pricing view.
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How does it account for fund-specific risks?
The agent evaluates multiple risk factors including GP quality, portfolio concentration, sector exposure, vintage year dynamics, and unfunded commitment obligations. These factors are incorporated into the discount rate calculation and overall pricing recommendation.
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Is every data point in the analysis verifiable?
Absolutely. Every extracted metric, benchmark comparison, and calculated value is visually linked back to its source document. This provides complete transparency and allows your team to verify the analysis before presenting to investment committees.
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How quickly can we get a pricing analysis?
Once configured with your firm's pricing methodology and data sources, the agent can deliver a comprehensive valuation analysis within hours of receiving the NAV report. This allows you to respond to deal opportunities faster than competitors.
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Next steps
Still building valuation models manually for every LP interest?
Send us a recent NAV report and your pricing methodology. We'll show you how our agent can deliver a complete valuation analysis in hours instead of days.













