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Uncertainty is a given.
Confidence is a choice.

For investment banks, market volatility demands accuracy and agility. It’s time to reimagine risk with reliable data, powerful tools, and proven indicators that empower risk managers to play ahead – and stay ahead.

Credit & Risk Solutions for Investment Banks

Dealmaking has faced many headwinds over the past year, but investor support for new transactions could grow as inflation declines. Helping your team confidently address the risks and opportunities associated with their investments will continue to require a deep knowledge of market and industry dynamics to find the best path forward to create value.

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Discover how Credit and Risk Solutions
can revolutionize your workflow

Today's markets are complex with many different pitfalls. You need to get a full picture of risks and opportunities to confidently navigate what lies ahead. Tap into our family of credit and risk solutions to efficiently evaluate the creditworthiness of private and public companies, potential defaults, the impact of ever-important sustainability issues, and much more.
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Case Studies

A Wealth Manager Enhances Its Customer Experience with Credit Ratings from S&P Global Ratings

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A Large Global Bank Implements an Integrated Risk Management Solution (XVA)

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Global Bank Meets Capital Requirements with FRTB Solution by S&P Global Market Intelligence

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Tier 1 Global Investment Bank Implements Counterparty Credit Risk Solutions

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Expert Insights

webinar

New Developments in XVA: An Inside View on Bank Strategy in a Changing World

Research

The Future of XVA Desks in Volatile Markets

case study

Implied Interest Rate Volatility and XVA: How the One-Factor Hull-White Model is Weathering Changing Markets

Whitepaper

Navigating Credit and Market Risk in Tumultuous Times

Blog

Probing the Limits of Initial Margin: Wrong-Way Risk with Jump-at-Default

Blog

Managing Hard Wrong-Way Risk: Fusing Collateral, Jump-at-Default, and XVA

Whitepaper

Navigating the Challenges and Nuances of Hedging in SA-CVA

Blog

Basel III Endgame – Or the Prologue to a New Game?

Report

Basel III Endgame Arrives: Preparing for FRTB in the US

BLOG

FRTB: 6 Reasons to Consider Adopting the Internal Model Approach

Blog

Navigating Industry Level Credit and Market Risks in the Light of Slow Growth and Interest Rate Hikes

Research

Reaching New Altitudes: Conquering Credit and Risk Challenges

Video

What Are the Key Trends and Challenges in Xva And Counterparty Credit Risk?

Video

XVA Pricer Overview

Whitepaper

Bank Balancing: Optimising Margin and Capital in a Higher Rate Environment

Research

Global Defaults - A Growing Threat: How to Spot the Early Warning Signals of Credit Distress

Whitepaper

XVA Perspectives: Exploring Cutting-Edge Insights and Strategies

See how our data, models,

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