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发现您的
风险优势。

通过独有的数据集、风险分析及专家洞察,获得对行业及市场的深入透视。现在正是投资管理者利用这些宝贵工具重新审视风险、做出自信决策的时刻。

投资管理者信用及 风险解决方案

尽管全球经济衰退的风险已有所缓和,但高居不下的通货膨胀仍旧可能会削弱消费者的信心和需求。为了支持公司的投资策略,精准识别市场的薄弱点与潜在机遇,必须紧跟新兴趋势和颠覆性事件,以预测未来走向。

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了解信用及风险解决方案
如何彻底改变您的工作流

投资管理公司面临的诸多挑战在未来仍将持续存在。我们的信用与风险解决方案产品群将有助于您识别风险优势。您可以利用这些解决方案有效评估上市及非上市公司的财务稳健性,及时获取信用恶化信号的警报,并满足气候监管要求等多方面需求。
1 Select Most Critical Business Need
2 Select Specific Focus Area
案例研究

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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另类投资基金(AIF)的信用度评价

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专家洞察

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

了解我们的数据、模型和工具如何帮助您重新审视风险。

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