Multiple financial stresses continue to challenge how banks, asset managers and corporations think about and manage credit risk. It is critical to identify, assess, monitor and control credit risks that may impact the ability of borrowers, suppliers and customers to meet their obligations.
Bloomberg’s suite of solutions offers extensive credit analytics, risk management and rich datasets to provide obligation-level credit analytics that incorporate market and fundamental information to help you manage credit risk.
Discover how Bloomberg can help your firm manage risk at bloomberg.com/data and bloomberg.com/risk, or by
running RISK on the Bloomberg Terminal®.