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Credit Spotlight on Global Oil & Gas
Credit risk was volatile for Global Oil & Gas producers in 2024 and global supply is expected to exceed demand in 2025, subject to strong geopolitical influences. This analysis from Credit Benchmark reviews global credit trends across a range of Oil & Gas sectors with a view to the year ahead.
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Risk.Net: June Credit Data Review
“Prospects for the diesel car do not look good. Attempts to rehabilitate the fuel continue, but appear to be running out of time. New emissions
Credit Quality of Sub-Saharan Sovereigns Affected by High Risk of Debt Distress
The IMF Regional Economic Outlook report from April 2018* discusses the recent increase in debt levels across Sub-Saharan African countries. This growth is partly in
May Credit Update: Consensus Upgrades Outnumber Downgrades
Credit Benchmark has published the latest monthly credit consensus data (from April 2018), with 24 contributor banks. The set of bank-sourced credit views (CBCs*) now
Forest Products: Credit Quality Improves Due To Plastics Backlash
Over the past year, the iShares Global Timber & Forestry ETF has risen by more than 35%, with the S&P 500 flat over the same
Benchmark Risk and Portfolio Analytics
Credit Portfolio Management and Bank-Sourced Benchmarks May 2018Benchmark Risk and Portfolio Analytics Overview This paper demonstrates the role of bank-sourced benchmarks and indices in credit
US Sanctions On Iran Likely To Hit Credit Rating, Could Benefit Saudi Arabia
The US decision to withdraw from the current nuclear deal with Iran is a new factor in the complex political re-alignment occurring across the Middle