Products & Tools
Providing forward-looking insights as well as in-depth information, ֳ products and tools allow investors to identify risks, understand credit trends, and leverage data for success in today's complex markets.
01Cross Sector
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ESG Relevance Scores
Our proprietary integrated scoring system shows how ESG factors impact individual credit rating decisions.
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Make better-informed credit decisions with access to an expanded suite of research, data, and tools produced by expert ֳ analysts.
02 Corporates
Ratings Navigator
Ratings Navigator is a visual overview of the key quantitative and qualitative factors ֳ analyzes to arrive at an entity’s credit rating. Power your rating simulations for Corporates with the new Navigator Interactive—a graphical web-based tool, using the same observations underlying ֳ’s own Navigator snapshots. ֳ Corporates Credit Research subscribers can .
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ֳ Adjusted Financials
This video offers a quick walk-through of ֳ Adjusted Financials, a tool that provides key Adjustments our analysts have made to reported values presented in financial statements for each company.
Learn More03Fund & Asset Managers
Money Market Fund Compare
MMF Compare allows investors to select a particular ֳ-rated fund and benchmark its portfolio credit, market and liquidity risk attributes against its rated peer group.
Short-Term Bond Fund Compare
Short-term Bond Fund Compare is an interactive dashboard that compares credit and market risk profiles for ֳ-rated short-term bond funds.
European Short-Term Bond Fund Compare
European Short-Term Bond Fund Compare is an interactive dashboard that compares credit and market risk profiles for ֳ-rated, European short-term bond funds.
Latin American Bond Fund Compare
Latin American Bond Fund Compare is an interactive dashboard that compares ֳ-rated funds and benchmarks their portfolio credit, market and liquidity risk attributes against their rated peer groups. (In Spanish)
04Infrastructure & Project Finance
ֳ Analytical Comparative Tool (FACT)
This Excel-based tool provides statistics and metrics for U.S. Public Finance issuers within a particular sector. The program allows for analyses of rating trends, custom peer groups, and individual agencies.
05Insurance
Prism Capital Model
The Prism model is ֳ' enhanced risk-based capital model and the primary proprietary tool the agency uses to assess the capital strength of insurance organizations worldwide.
Learn More06Leveraged Finance
ֳ Public Credit Opinion Feed
This direct feed of roughly 500 borrowers with public filings, including issuer and issue-level credit opinions and recovery estimates, includes industry classifications, LoanX ID’s, CUSIPs, and issue-level ratings and recovery ratings.
Portfolio Credit Model
A quantitative tool for collateral portfolios backing CLO transactions. Outputs include: rating default rate (RDR), rating loss rate (RLR), and the rating recovery rate (RRR) corresponding to each stress test scenario.
Public Rating Feed
This feed includes 1,000+ issues with public high-yield and investment-grade issuance and 100+ issuers with publicly rated leveraged loan ratings, and is delivered via FTP or file format that can be exported to Excel. The feed also includes industry classifications, LoanX IDs, CUSIPs, and issue-level ratings and recovery ratings.
07Public Finance – International
IPF China ֳ Analytical Comparative Tool (FACT)
The Excel-based tool provides an easy-to-use, interactive platform with clear graphics to provide market participants with a clearer understanding of the credit profiles of Chinese public-sector entities.
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08Public Finance – U.S.
ֳ Analytical Stress Test (FAST)
Our suite of ֳ Analytical Stress Tests covers a range of tax-supported and revenue sectors.
ֳ Analytical Comparative Tool (FACT)
This Excel-based tool provides statistics and metrics for U.S. Public Finance issuers within a particular sector. The program allows for analyses of rating trends, custom peer groups, and individual agencies.
09Sovereigns
Sovereign Data Comparator
Sovereign Data Comparator is a quarterly database of key statistics for 117 rated sovereigns, that allows users to compare indicators for different countries that are active, or will potentially be active, in the international capital markets.
Sovereign Rating Model
The Interactive Sovereign Rating Model (SRM) is an analytical tool provided for use by third parties. The inputs and calculations of the tool exactly replicate those used in the rating process.
ֳ Fiscal Index Analytical Tool
The ֳ Fiscal Index Analytical Tool quantifies the contribution of each of the four key fiscal variables of the Interactive Sovereign Model to a given sovereign’s overall fiscal position.
10Structured Finance
Additional Data to Supplement Criteria Exposure Draft Release
ֳ is releasing additional data in connection with publication of ‘Exposure Draft: U.S. and Canadian Multiborrower CMBS Rating Criteria.’
Learn MoreIntroducing ֳ CMBS Portal
This new interactive web-based tool offers a wealth of key performance metrics and provides access to daily updates on ֳ latest rating actions - all you need to effectively monitor changing credit dynamics within your North American CMBS portfolio.
Access Comprehensive CLO Surveillance On ֳ PRO
With a premium subscription to ֳ PRO, you can monitor your CLO loans and holdings with insights including Deal Performance, ֳ Model Implied Ratings and Issuer Exposure. Request a demonstration via the link below.
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Structured Finance Compare Tools
These tools allow you to select a portfolio of transactions and compare their performances to each other as well as various ֳ benchmark indices and macroeconomic indicators.
Learn MoreResiGlobal
ResiGlobal is a publically available analytical model used by ֳ to analyze residential mortgage portfolios for portfolio frequency and recovery rate assumptions.
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