Research
Understanding developments in global capital markets is critical for fixed income and equity investors looking to identify opportunities and assess risk. To help evaluate your strategic portfolio positioning, develop your investment ideas, and identify potential gaps and opportunities, Global Fixed Income Research provides top down information on:
- Global credit trends
- Macroeconomic conditions
- Sector-specific developments that impact the global capital markets including ratings transitions and anomalies
- Distressed, default and recovery research
Supported by in-depth credit and economic indicators, research data and outlooks, Global Fixed Income Research provides a wealth of information essential for successful investment decisions and can help you capitalize on opportunities, enhance analysis, and improve productivity.
Global Fixed Income Research is available through RatingsDirect, the online source for Standard & Poor's Credit Ratings and Research. For subscription information or more details, please contact client services. To view sample titles and abstracts from Global Fixed Income Research, please visit the tabs above: Credit Trend Analysis, Economic Research, and Default, Transition & Recovery Studies.
As a supplement to RatingsDirect, the Capital Market and Economic Research newsletter provides highlighted article headlines and abstracts, in addition to complimentary access to Monthly Economic Research and select Weekly Economic Reports. You will need to subscribe to RatingsDirect to view full Global Fixed Income Research articles.
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