Pricing

Priced per reconciled asset, billed annually.

One meter: an asset that AssetView holds a reconciled record for. Sources, users, reports, and API access are not metered and never priced separately.

AssetView is pre-launch and per-asset rates are not final. We are not going to print a fake number, and we are not going to print "contact us" in place of a model. The structure below is what you will be billed on; the rate is set with design-partner customers before general availability and will be published here when it is.

Core

500–1,500 assets

Reconciliation, per-field source attribution, gap reports, and the full connector catalog.

  • All available connectors
  • Per-field precedence rules
  • Gap and lifecycle reports
  • CSV and scheduled email export
  • Email support, next business day
Start with an assessment

Operations

Most common

1,500–5,000 assets

Adds workflow triggers, CMDB bridging, and role separation for larger IT teams.

  • Everything in Core
  • CMDB difference lists and scoped write-back
  • Onboarding and offboarding triggers
  • SAML SSO and SCIM provisioning
  • Custom precedence rules per field and site
  • Shared Slack channel support
Start with an assessment

Enterprise

5,000+ assets

For estates with multiple tenants, regional data residency, or procurement requirements of their own.

  • Everything in Operations
  • Multiple workspaces with cross-tenant reporting
  • EU or US data residency election
  • Custom retention and deletion schedules
  • Named implementation contact
  • Security review and questionnaire support
Start with an assessment

The meter

What counts, and what doesn't

Counts toward the meter

  • Laptops, desktops, and servers with a reconciled record
  • Mobile devices under management
  • Cloud instances you choose to include

Never metered

  • Every connected source, at any number
  • Every user in your workspace, at any role
  • Reports, exports, scheduled deliveries, and the read API
  • Assets in an archived state, retained for history

Details

Questions about the model

How does the count change during the year?
The billable count is the average of month-end reconciled assets across the term, so a hardware refresh that briefly doubles a model line does not spike the bill.
What happens to assets we retire?
They move to an archived state, stop counting toward the meter, and keep their full source history for as long as your retention setting says.
Is there a minimum term?
Annual, and it starts when the first reconciliation completes rather than at signature.
Do you charge for the assessment?
No. The data accuracy assessment is run before any commercial conversation and you keep the output either way.

Next step

Find out how far apart your systems are.

We run a read-only reconciliation across your MDM, HR system, endpoint agent, and procurement records, then walk you through where they disagree and why.

Request a data accuracy assessment

Read-only access. No agent to deploy. Nothing written back to your systems.