Search Results for: inflation

Q3 2022 Credit Review: Inflation and Credit Risk: Close to Boiling Point

Inflation dominated Q3 financial news, and the resulting short rate squeeze is biting while credit volatility is rising and the COVID recovery is running out of steam. Risk indicators are high in the UK, and oil and gas price volatility has brought havoc to Europe. In North America, weaker credit trends are appearing in several sectors. Believe it or not, there are some bright spots amidst this turmoil. This whitepaper elaborates on some of these trends and shows where credit could be headed next.

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Q1 2022 Quarterly Review: COVID Recovery, Inflation and Ukraine Invasion

The latest whitepaper from Credit Benchmark illustrates the global credit trends in the first quarter of 2022. With global growth rebounding strongly at the start of 2022, consensus credit trends mirrored this recovery across a broad range of sectors. But as inflation grows and interest rates look likely to jump, will heavily indebted companies drive credit defaults higher?

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Credit Spotlight on 2024 US Election Impact

The economic impact of Trump’s 2024 election victory will be far reaching. This report from Credit Benchmark draws on internal credit ratings collected from global banks to show default risk trends for sectors most likely to be affected.

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2024/25 Default Risk Outlook: UK Industries

Credit Benchmark’s new 2024/25 Default Risk Outlook for UK Industries predicts UK default risks to plateau in next 12 months; Basic Materials, Telecoms and Technology predicted to show >10% increase in default risk by Q2 2025.

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Credit Spotlight on Global Credit Cycles

Credit Benchmark’s consensus dataset reflects historical economic upheaval through clear global credit cycles. Sector-level “leaders and laggards” within a cycle can be used in portfolio management to model transition matrix changes and provide valuable insights into the future credit profiles of sector exposures.

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Geographic Credit Risk

Assessing and monitoring geographic credit risk is an important part of managing credit risk across a portfolio. ACCESS REPORTS Introduction Banks contributing their internal ratings

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