Fixed Income & Credit Research
(Brokerage Firms & IRPs)

Detailed research coverage & maintenance support across capital structure, regions, and sectors for Brokerage and Investment Advisory firms.


500,000+

Man hours of cumulative experience researching fixed income and credit securities.

5,000+

Stocks on which we have written detailed credit notes.

50+

Sectors where we have extensive research experience across ratings and regions.

6,500+

Models with in-depth analysis on the basis of key value drivers and credit metrics.

Solutions Portfolio


Sales & Trading Research Support

Investment Grade | High Yield | Leveraged Loans | Sovereign/ Municipals

Idea Generation

Research Coverage Maintenance

News Updates & Commentary

  • Screening of companies across regions, sectors, and rating categories
  • Credit profiles/Tear-sheets on opportunities
  • Deep-dive credit analysis of shortlisted companies
  • Gathering/Updating street consensus
  • Querying/Maintaining financial databases
  • Opinionated credit notes
  • Forecasted cash flow models
  • Earnings/Credit event updates
  • Debt structure analysis
  • Sensitivity analysis
  • Negative covenants analysis
  • Peer/Securities comp
  • Regular news updates for traders
  • Morning meeting notes
  • After-market trade commentaries
  • News and impact analysis
  • Updating sector monitors

Securitized Credit

Research, Analytics, Surveillance

  • Cash-flow models for pre-payments, interest rates, and default/recovery scenarios
  • Analysis of MBS/ABS/CDO/CLO deals and constituents.
  • Research publication support
  • Commercial real estate analysis
  • Reporting deal performance
  • Highlighting key changes in deals and constituents

Looking to increase your investment research coverage while still reducing costs?