More than $15 trillion of capital is trapped in public markets, trading below intrinsic value. We find these opportunities systematically.
Different opportunities require different detection methods. Each lens is a complete analytical framework.
Companies trading below liquidation value. Real assets worth more than market cap. Hidden value in plain sight.
Under-followed, orphaned spinoffs, zero analyst coverage. Where the crowd isn't looking.
Data science surfaces candidates. You make the decisions. Scale research without losing control.
From raw data to actionable intelligence. Every opportunity follows the same rigorous path.
SEC filings, market feeds, earnings transcripts, alternative data. Everything structured and normalized.
Proprietary valuation models compute intrinsic value, NAV breakdowns, and margin of safety.
Multi-factor ranking surfaces candidates. Configurable thresholds. No false positives.
Deep-dive synthesis: business quality, catalysts, risks. Machine-augmented research.
Pipeline management with alerts. Position sizing, entry points, exit triggers.
Every outcome feeds back. Continuous refinement. The models get smarter with each decision.
Each lens is a complete analytical framework with specialized models, data sources, and detection criteria.
Companies trading below liquidation value. Hidden assets worth more than market cap.
Depressed margins versus true potential. Temporary issues masking earning power.
Information asymmetry creates opportunity. Where institutional coverage is absent.
Poor capital allocation destroying value. Governance changes unlock potential.
Wrong capital structure suppressing value. Leverage optimization opportunities.
Corporate structure creating discount. Simplification unlocks hidden value.
Powered by the same data infrastructure used by the world's leading institutions.
Specialist analytical models examine every opportunity from multiple angles. You review, edit, and decide.
Research, valuation, risk, governance, and monetization analysis.
Executive summary, metrics, scenarios, and clear recommendation.
Every analysis includes confidence with transparent reasoning.
Edit outputs, add insights, approve or reject at every stage.
Built on Bloomberg, Refinitiv, SEC filings, and alternative data.
Models improve from outcomes and your feedback over time.
Market cap of $42M against liquidation NAV of $78M (47% discount). Cash covers 60% of market cap. Real estate on books at historical cost significantly understates value...
Designed for investors who understand that systematic beats ad-hoc.
Systematic deal flow for concentrated portfolios.
Special situations with institutional-grade analysis.
High-net-worth investors who think like institutions.
Scale-appropriate opportunities with institutional rigor.
Learn how Dislocation can support your investment process. We're happy to discuss your requirements.