Climate Change Drives Credit Rating Shift Towards Resilience
As climate risks escalate, Credit Rating Agencies are increasingly factoring resilience into their assessments, providing a more forward-looking view of economic stability. Nations vulnerable to climate-related [...]
The Impact of Credit Downgrades on Financial Markets
Credit ratings play a crucial role in shaping investment decisions, assessing financial risk, and determining borrowing costs. A credit downgrade—whether for a company, government, or financial [...]
2025 Outlook for Derivatives: A Credit Rating Perspective
The derivatives market is evolving rapidly, driven by tokenised assets, AI-driven risk analytics, and climate-linked financial instruments. As new products emerge, assessing credit risk, counterparty exposure, [...]
2025 Outlook for the Global Bond Market
The global Bond market in 2025 is set to navigate a landscape shaped by economic shifts, Central Bank policies, and geopolitical uncertainty. While inflation is cooling, [...]
2025 Bank Outlook: Global Market Insights
The Banking industry is facing a transformative year in 2025. It will be shaped by economic shifts, regulatory changes, and rapid digital innovation. From fluctuating interest [...]
2025 Credit Rating Outlook
Navigating the Credit Rating Landscape: Key Insights for Issuers in 2025 As we step into 2025, the global credit rating environment presents a mix of opportunities [...]