Fixed Income & Credit Research
(Asset Managers)

Research and analytics support for investment decisions across rating categories, products, regions and fixed income segments.


500,000+

Man hours of experience in supporting asset managers in fixed income and credit securities.

6,000+

Credit models developed across ratings categories to support asset managers.

50+

Sectors covered as part of research support across ratings and regions.

Solution Portfolio

Global asset managers leverage our experience across rating categories, products, regions and fixed income segments.


Investment Grade, High Yield, Leveraged Loans, Sovereign/ Municipals

Models

Investment Notes

Analysis

News Monitoring

Databases & Surveillance

  • Cash flow models
  • Shadow credit rating
  • Loan/LBO models
  • Recovery models
  • Trade claims reviews
  • Waterfall models
  • Commercial real estate or REIT models
  • Financial spreading
  • Economic data tables and charts
  • Opinionated credit notes
  • Detailed credit notes with
  • Recommendations
  • Tear sheets
  • Credit memos
  • Detailed Notes with
  • Credit views
  • Tear sheets
  • Thematic research reports on
  • Deals
  • Trading ideas
  • Sectors
  • Initiating reports On
  • General obligation and Revenue obligation
  • Municipal bonds
  • Sovereign reports
  • Capital structure analysis
  • Covenants
  • Financial covenants
  • Negative covenants analysis
  • Peer/Bond/Loan comp
    A to E
  • Restructuring
  • Waivers
  • Indenture screening
  • Distressed debt screens
  • Sensitivity analysis
  • Regulatory study
  • Deal analysis
  • Constituents analysis
  • Commercial real estate analysis
  • Comparative analysis
  • Economic analysis
  • Country risk analysis
  • Distressed analysis
  • Daily news monitoring
  • Capturing flex activity
  • Company guidance monitoring
  • Distressed debt monitor
  • Regulatory updates
  • Regulatory news
  • Region-wise ABS/MBS news updates
  • Real estate monitors
  • Economic updates
  • Impact analysis
  • News monitoring
  • Database of financials and regular updates
  • Database of converts
  • History of distressed situations
  • Updating deal performance
  • Monitoring changes in tranche/constituents
  • Tracking new deals and competitor intelligence
  • New issuance monitoring
  • Economic, banking, and financial database

Our Experience


North America Supported over 10 large and mid-sized asset managers with 2,000+ credit model and notes across investment grade, high yield and distressed securities
South America 500+ credit model and notes across investment grade, high yield and distressed securities
Western Europe Supported 15+ asset managers with 1,500+ credit model and notes across investment grade, high yield and distressed securities
Middle East 300+ credit model and notes across investment grade, high yield and distressed securities
Africa 100+ credit model and notes across investment grade, high yield and distressed securities
Asia and Australia 1,000+ credit model and notes across investment grade, high yield and distressed securities

Looking to increase your investment research coverage while still reducing costs?