Track themes like inflation exposure, supply chain disruption, and going concern risk across a sector or your whole portfolio, filtered by company type and date range, derived from real filed accounts.
Select one or more indicators, a date range, and optionally a sector or company type — the dashboard scans across every matching company's filed narrative to produce a trend read grounded in real disclosures.
Pick from nearly 30 tracked themes, a date range, and optional sector/company-type filters.
The dashboard scans matching companies' filed narrative for real mentions of each theme.
See the trend, sector breakdown, and top companies — save the configuration to run again automatically.
Inflation, supply chain, labour market, going concern, M&A activity, ESG, and more — combinable in one report.
Narrow to a specific SIC sector, date range, and company type (PLC or private limited).
Monthly or yearly granularity, showing whether a theme is rising, falling, or flat across the selected companies.
See which sub-sectors are driving a trend, not just the aggregate number.
The specific companies most associated with a tracked theme, ranked by mention count.
Save a report configuration to run automatically, with an optional email digest.
An analyst tracks going-concern mentions across the construction sector month by month, spotting a rising trend well before it becomes a headline story — and identifying exactly which companies are driving it.
A fund tracks supply chain disruption mentions specifically across its own portfolio companies, saved as a recurring weekly report — surfacing a shared operational risk across multiple holdings at once, rather than discovering it company by company.
Ahead of policy renewals, an insurer runs a macro report on liquidity stress and covenant breach indicators across a sector they underwrite heavily in, informing pricing and appetite decisions with real trend data rather than a stale industry report.
| Capability | Populous Macro Dashboard | Generic market research report |
|---|---|---|
| Based on real, current filed disclosures | Yes | Often modelled/estimated |
| Filter to your own portfolio specifically | Yes | Not possible |
| Update frequency | On demand, daily data | Periodic publication |
| Scheduled, automated delivery | Yes | Not available |
Nearly thirty pre-built indicators, spanning inflation, supply chain, labour market, going concern, M&A activity, ESG, and more, each combinable with sector and date filters.
Yes — reports can be saved with a schedule (daily, weekly, or monthly) and an optional email digest.
Every indicator is derived from actual narrative mentions in filed accounts across the selected companies, not modelled or estimated sentiment.
Yes — reports support both monthly and yearly granularity, depending on the level of detail you need.