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Discover your
risk advantage.

Discover unique datasets, risk analytics, and expert analyses that provide transparency into industries and markets. It’s time for investment managers to reimagine risk with invaluable tools for making confident decisions.

Credit & Risk Solutions for Investment Managers

Global recession risks have eased, yet still-elevated price inflation could dampen confidence and demand. Clearly identifying market vulnerabilities and areas of potential opportunity to support your company’s investment strategies will require staying on top of emerging trends and disruptive events to evaluate what’s around the corner.  

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Discover how Credit and Risk Solutions
can revolutionize your workflow

Many of the challenges investment management firms have been facing will continue as we look ahead. Discover your risk advantage with our family of credit and risk solutions. Efficiently assess the financial stability of both private and public companies, be alerted to signals of credit deterioration, meet climate regulatory requirements, and much more.
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Case Studies

A Lender Enhances Its Approach to Sustainable Real Estate Financing

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A Large Bank Improves Its Credit Risk Assessments for Fund Financing Transactions

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An Investment Manager Streamlines the Evaluation of Credit Risk

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A Large Fund Implements Buy Side Risk Solution for SEC 18F-4

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Leading European Private Credit Manager Seeks Tailored Credit Risk Assessment for NAV Fund Financing

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A Green Lender Adopts a Robust Approach for Assessing Project Finance Credit Risks

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An Asset Manager Meets Client Redistribution Demands for Excel-based Statements

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Assessing an AIF’s Creditworthiness

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Expert Insights

Blog

Private Credit Investors and Sustainability

Blog

Private Credit Investors Focus on Credit Risk

Webinar

The Evolution of Buy-side risk: managing the emerging importance of liquidity and climate risk

Webinar

Exploring Credit Risk in Fund Financing: A Deep Dive into Alternative Investment Funds.

Webinar

Real-time Portfolio Risk Management: Unlocking Opportunity in Volatile Markets

Webinar

Understanding and Navigating Climate Risk

Blog

Navigating Credit and Market Risk in Tumultuous Times

Research

Q&A: Exploring Credit Risk in Fund Financing

Whitepaper

Reaching New Altitudes: Conquering Credit and Risk Challenges

Blog

Modelling Contingent Convertibles Under Stress Scenarios

Articles & Reports

A Framework for Buy-side Risk Managers: Constructing Inflationary Stress Tests

Blog

Quality Data: The Key to an Efficient Portfolio Risk Management System

Research

Quarterly Review of Credit Risk in China’s Credit Bond Market – Q3, 2023

Video

How is Buy-side Risk Technology Adapting to a Shifting Risk Landscape?

Video

Buy Side Risk Solution - Overview

e-book

Buy Side Risktech 2.0: Solving the Challenges of a Risk Manager

Whitepaper

How are Asset Managers Considering Sustainability in Portfolio Risk Management?

whitepaper

Diversifying Buy-Side Risk Frameworks: How Asset Managers Can Integrate Emerging Risk Factors Amid a Turbulent Market Landscape

See how our data, models, and tools can empower

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