Mitigate multidimensional risk, seize market opportunity at any scale, and achieve optimal returns with differentiated data, analytics, and workflows that empower private credit managers with unparalleled clarity, transparency, and efficiency.

  • Conduct quantitative and qualitative credit risk analysis across private credit investments, including direct lending and synthetic risk transfer.
  • Analyze comparative risk across rated and unrated credit instruments, industries, and regions using rigorous and consistent financials and risk methodologies.
  • Leverage deep and broad insights from S&P Global Ratings to determine comparables for unrated entities based on company type, business model, industry, region, and ESG and climate risk factors.
  • Monitor news, trends, sector outlooks, and intelligence that impact private credit, including comprehensive market data and credit risk indicators, on a single platform.
  • Analyze credit risk and formulate future default and ratings migration scenarios using historical credit data that goes back more than four decades.

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