Infrastructure Fund Appeal Analyzer

Infrastructure Fund Appeal Analyzer MCP Connector for Claude

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Quantifies the attractiveness and suitability of infrastructure funds for various investor classes.

4 tools Official Updated Oct 1, 2026 Official Vinkius Partner

This MCP server provides a specialized financial analysis engine to evaluate infrastructure investments. It calculates a comprehensive fund appeal score by analyzing yield, inflation linkage, contract duration, and risk profiles. Using tools like get_fund_appeal_score and get_investor_suitability, it identifies the best-fit investor types--such as Pension Funds or Sovereign Wealth Funds--and assesses downside protection against economic volatility. It is designed to help institutional investors quantify the real value and risk-adjusted returns of infrastructure assets.

infrastructureyieldesgrisk-assessmentinvestor-matching

4 tools expose this connector's capabilities to your AI agent.

evaluate_downside_protection

Assesses how well the fund protects against adverse economic conditions

get_fund_appeal_score

Calculates the primary attractiveness score for a specific infrastructure fund

get_investor_suitability

Determines the most appropriate class of investor for the given fund parameters

get_yield_profile_details

Provides a detailed qualitative description of the fund's yield characteristics

See how to talk to your AI agent using Infrastructure Fund Appeal Analyzer.

Calculate the appeal score for a fund with 5% yield, 0.8 inflation linkage, 15 year duration, low risk, and an ESG score of 85.

The fund has an appeal score of 88, a stable yield profile, and is a primary match for Pension Funds.

What is the suitability for a fund with a 20-year duration, high risk, and an ESG score of 60?

This fund is best suited for Private Equity due to its high risk profile and specific duration characteristics.

Check the downside protection for a fund with 0.2 inflation linkage and high risk.

The protection strength is low, indicating a high vulnerability to inflation and market volatility.

The score is a composite metric derived from the `get_fund_appeal_score` tool, which weighs annual yield, inflation linkage, contract duration, risk profile, and ESG ratings.

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