Fixed Income & Credit Research
(Asset Managers)
Research and analytics support for investment decisions across rating categories, products, regions and fixed income segments.
500,000+
Man hours of experience in supporting asset managers in fixed income and credit securities.
6,000+
Credit models developed across ratings categories to support asset managers.
50+
Sectors covered as part of research support across ratings and regions.
Solution Portfolio
Global asset managers leverage our experience across rating categories, products, regions and fixed income segments.
Investment Grade, High Yield, Leveraged Loans, Sovereign/ Municipals
Models |
Investment Notes |
Analysis |
News Monitoring |
Databases & Surveillance |
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Our Experience
North America | Supported over 10 large and mid-sized asset managers with 2,000+ credit model and notes across investment grade, high yield and distressed securities |
South America | 500+ credit model and notes across investment grade, high yield and distressed securities |
Western Europe | Supported 15+ asset managers with 1,500+ credit model and notes across investment grade, high yield and distressed securities |
Middle East | 300+ credit model and notes across investment grade, high yield and distressed securities |
Africa | 100+ credit model and notes across investment grade, high yield and distressed securities |
Asia and Australia | 1,000+ credit model and notes across investment grade, high yield and distressed securities |
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Aranca is a global research analytics and advisory firm with over 20 years of experience in helping organizations take strategic business and investment decisions fearlessly and with utmost conviction.
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