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Government & Regulatory Agencies

Discover the essential data source for global government and regulatory needs. Fluctuating demands within the public sector guarantee that workflows and directives will vary across agencies and offices. Now more than ever, governments need access to trusted data, comprehensive analytics, and unrivaled research to make critical decisions with conviction. S&P Global’s market intelligence offering for government and regulatory agencies checks those boxes.

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  • Financial Regulators
  • Tax Authority
  • Central Banks
  • Development & Import/Export Banks
  • Intelligence Community
  • Economic Offices

Harness the power of essential data to address policy, governance, and agency needs

Your needs vary by country, but your reliance on essential business intelligence is critical to your workflow, driving impacts from foreign reserves to economic policy. Manage the full spectrum of risk and regulatory supervision with standardized data solutions including economic impact, sustainability, credit risk, financial regulation, operational resilience, and more.

Analyze credit ratings to validate the companies you regulate. Explore Fundamentals, Estimates, Screening, and Supplier and Buyer Data. With industry-specific data and news you can accelerate progress and stay ahead of the changing regulatory landscape.

  • Access reliable, timely financial data including 500+ entered items and 250+ derived ratios (depending on the size of the financial institution) including bank and asset managers.
  • Formulate future default and ratings migration scenarios and validate internal rating systems.
  • Get comprehensive company and market data on 61,200+ active and inactive listed, non-listed, and subsidiary banks across the globe.
  • Access credit ratings from S&P Global Ratings, Moody’s, and Fitch.
  • Generate insights into new and existing regulations such as IFRS9, CECL, CCAR, Solvency II, and MiFID II.
  • Deep dive into sustainability data and analytics with solutions supporting the analysis of climate-related risks and opportunities, and sustainability portfolio alignment.
  • Learn about our Probability of Default and Loss Given Default Models.
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Accelerate efficiency and security in tax operations

Tax professionals within government must ensure Multinational Corporations (MNCs) within their jurisdiction are not avoiding paying taxes by mispricing the interest rate on intercompany loans. Gain access to essential data that accelerates analytics and informs decision making to improve operational outcomes across tax jurisdictions.

  • Independently perform credit risk assessments to evaluate companies leveraging quantitative risk models.
  • Determine arm's-length pricing and identify market interest charges for affiliates with arm’s-length interest rates.
  • Create yield curves that evaluate intercompany loans against appropriate geographic and industry interest rates.
  • Rely on quality-assured and standardized data which is in accordance with IFRS and GAAP accounting standards.
  • Conduct comparable analysis using S&P Capital IQ and Compustat® data.
  • Screen for similar debt instruments using custom, transparent, and empirically-based pricing.
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Anticipate vulnerabilities to safeguard the resilience of the financial system & follow risk compliance procedures

Manage the full spectrum of your risk and regulatory compliance exposure with our industry networks, data, technologies, and expertise.

  • Gain unrivaled insights and drill down to the essentials of your workflow with data and analytics that are tailored, timely, and reliable.
  • Customize your analysis for companies of all sizes and industries across the globe using economic scenarios, forecasts, and EViews
  • Create a strategic view of the financial system, through access to essential solutions to prevent the excessive build-up of risk, whether from external factors or market failures.
  • Expand your analysis with time tested data and analysis to structure a more resilient financial system, with limited disruption.

Support private sector development in developing countries.

Whether you’re tasked with credit risk analysis, non-core risk management, or risk underwriting – it is imperative that you understand "non-core" risk exposures outside of lending credit risk including counterparty, liquidity, and market risk related to treasury activity.

Our essential solutions allow you to:

  • Evaluate companies’ financials to examine the credit health of counterparties and suppliers to better understand exposure and probability of default.
  • Conduct sector analysis and benchmark bond prices against daily corporate yield curve and spread data using factors like credit rating, currency, and industry. Use Credit Analytics to assess the creditworthiness of companies.
  • Produce reliable, relevant, and informative research to support policy changes, new governance requirements, and other agency projects with critical insights and analytics. Access analyst research reports to gain a comprehensive perspective on the marketplace, then screen for sector-specific trends by combining company fundamentals with qualitative and event-focused criteria.
  • Access in-depth Aftermarket Research reports from 1,700+ brokers and independent research providers around the globe. Gain a full 360-degree perspective to better understand companies, sectors, and regions worldwide.
  • Assess counterparty credit risk, monitor supply chain, or track the performance of portfolio companies. Our extensive private company coverage gives you the market monitoring and insights you need to make confident decisions.
  • Apply S&P Global Ratings methodology for expert judgment driven by either qualitative or quantitative analysis via Aspect credit risk assessment Scorecards.
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Expand your strategy, reach, and intelligence advantage with the right data solutions

Access actionable insights and information to improve your view of physical risk, geopolitical analysis, and stakeholder mapping. Get further in your digital transformation journey with our 451 Research Analysts and Surveys – illuminating cybersecurity risks, bridging cloud gaps, demystifying AI and machine learning technologies, and infrastructure, including foresight and maritime intelligence risk.

  • Use Panjiva Supply Chain Intelligence to analyze complex transnational supply chains, plot commodity flows, and observe the behavior of entities across the spectrum of global trade.
  • Gain insights into trade risks, disruptions, and illegal activity by leveraging comprehensive data through more than 2 billion shipment records from 9 million companies in 190 countries.
  • Ingest deep insights through bills of lading, customs data, and consumer/supplier information via multiple comprehensive data delivery channels.
  • Access with global flexibility and through a variety of channels to help you execute your mission, regardless of your agency's requirements.
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Leverage insights for a complete perspective on global economic strength

Economics & Country Risk data, models, and experts provide companies with the complete perspective – from global economic strengths to industry-level health to street-level risk assessments and everything in between. We enable customers to identify and optimize opportunities, mitigate risks, and solve problems globally. Our unmatched expertise coupled with comprehensive data, forecasting models, and granular risk ratings provide truly global perspectives.

  • Economics & Country Risk Research & Analysis: The World Economic Service equips decision makers to meet this challenge with economic data and 30-year forecasts for up to 500 indicators across the globe. Subscribers use our online delivery platform, IHS Markit Connect, to download the data and forecasts and to obtain daily headline analysis, special topical reports, in-depth country reports, and monthly economic overviews.
  • Global Economic Forecasting and Analysis: Access historical data back to 1970 and 30-year forecasts for up to 500 key indicators. Forecasts are updated monthly for the 100 largest countries and quarterly for other countries.
  • Geopolitical Risk Intelligence Solutions: Our geopolitical risk intelligence solutions provide end-to-end coverage of political, violent, sovereign, banking, and investment risk worldwide. Access the resources to anticipate and quantify critical external strategic business risks that might adversely impact your agencies’ investments, personnel, interests, and assets anywhere in the world."

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Data solutions for every stage of your journey

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Accelerate ambitious actions with comprehensive sustainability insights

Address governmental and regulatory shifts to drive sustainable economies, worldwide. Get essential sustainability intelligence using single-source sustainability analytics to implement carbon reduction plans, assess climate risk, support Paris Agreement goals, and further your journey to net zero.

Learn more about our sustainability solutions

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  • Best Corporate Actions Data Initiative, 2023
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  • Most Innovative Regulatory Solution (Climate Risk & Transaction Reporting), 2023
  • Best Overall Data Product or Service, 2023

And, we delight in supporting our customers with 24x7x365 customer service and a 98% customer service satisfaction rate.

If your company has a current subscription for S&P Capital IQ Pro, you can register as a new user for access to the platform(s) covered by your license at S&P Capital IQ Pro or S&P Capital IQ


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