Markets are reaching new highs on economic recovery in the U.S. and across the world. Government stimulus efforts are bolstering global economies and the prospects for reopening from lockdowns has consumers ready to unleash pent-up demand. What are the key themes we expect to shape credit and markets in the H2 2021 and beyond?
COVID-19 Impact & Recovery: Credit and Markets Outlook for H2 2021
Case Study: Alternative Investment Funds Scorecard
Corporate Credit Risk: Macroeconomic Recovery Projections Post-COVID-19
Fund Financing Through a Credit Lens Credit Risk Factors for Alternative Investment Funds AIFs
Anticipate the Unknown Go Beyond Fundamentals to Uncover Early Signs of Private Company Credit Deterioration