Measure Value

Ensure that your financial reporting, transactions, and compliance move forward without delays with valuations that are independent, defensible, and grounded in real market data and industry expertise.

Summary

Get audit-ready, defensible valuations across businesses, securities, IP, real estate, and M&E—supported by calibrated models, strong governance, and clear documentation that hold up in audits, transactions, and disputes.

Proof In Performance
  • 1,000+ quarterly Level-3 marks calibrated and back-tested across PPAs, impairments, equity comp, and disputes.
  • Hundreds of RE and M&E appraisals annually, backed by market comps that cut audit pushback by 30–50%.
  • Standardized models and PBC-ready workpapers that reduce audit questions and tie-out issues by double digits.

How We Help

Rollover each challenge to see what good looks like.

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Full Cycle Valuation

Rely on support through every trigger event—from initial pricing strategy through financial reporting, disputes, and ongoing portfolio monitoring.

Valuation
Define purpose, standard of value, units of account, and materiality thresholds.

Outcomes You Can Count On

1

Audit speed, fewer surprises

Your audits move faster because models are calibrated, tie-outs are clean, and reviewer questions are anticipated—not discovered at the last minute.

2

Defensible fair value

You walk into every review knowing your fair value marks are grounded in Level 3 rigor, back-tested, and calibrated to the market—ready for scrutiny from any angle.

3

Deal certainty

You preserve deal value and momentum because independent valuation support reduces retrade risk and keeps both sides aligned on price and timing.

4

Faster close & reporting

You close the books sooner because PBC-ready workpapers and standardized schedules are already in place—no last-mile scramble at month-, quarter-, or year-end.

5

Stronger governance

You strengthen governance by relying on clear policies, a living model library, and a predictable committee cadence—so marks are consistent and repeatable across periods.

See how we helped companies like yours.

Our Solutions

Fair Value Reporting - Illiquid Assets

Financial Reporting

Related Party Transactions

Fair Value Reporting - Real Estate

Tax Compliance

Intercompany Transfer Pricing

Insurance Replacement Cost

Fund Services

Kroll delivers a unique set of services to support private equity, private credit, hedge funds, collateralized loan obligations, real estate funds, BDCs, interval funds and 1940 Act funds at every stage—from registration to ongoing regulatory compliance, cybersecurity and valuation, to fund winddown. Kroll provides comprehensive support to funds to drive operational resilience and compliance with regulatory obligations.

Financial Instruments and Technology

The Kroll Financial Instruments and Technology practice is a leading solutions provider for asset managers, hedge funds, fund administrators, banks, insurers, private equity firms, commodity trading and investment firms, and corporations.

Valuation Services

When companies require an objective and independent assessment of value, they look to Kroll.

Kroll Economics

Turning volatility into clarity—with strategic, data-driven insight you can trust.

Page content reviewed by David Scott, Managing Director, Alternative Asset Advisory (20 years of experience in alternative asset advisory, financial reporting, transaction opinions and disputes consulting). Sources include Kroll valuation models/libraries, market comps datasets, and opinions archives. Last reviewed: November 2025