Test the price
before the market does.
Change a price, a cost, a rule, or the objective and see projected margin, volume, and earnings before a single live price moves. No risk, no guesswork.
Any change, modeled end to end.
Move a price up or down and see the demand and margin response per segment.
Pass through a supplier increase and find the price that holds your margin.
Tighten a floor or change a guardrail and watch what it does to the catalog.
Re-weight margin, revenue, and volume and compare the whole trade-off.
From sandbox to live, deliberately.
Simulation is the safe doorway to the closed loop. Prove a move on paper, compare it to today, then promote only what wins.
Model the change on your real catalog, costs, and competitor data. Nothing goes live.
See projected margin, volume, and earnings side by side with today.
Send the winners to recommendations or a guarded autonomous segment.
“We stopped arguing about price changes in meetings. We just run the scenario, look at the projected margin, and decide.”
Run the scenario before you run the risk.
Connect a data sample and model your first what-if within days, on your own catalog, costs, and competitors.