Sector And Industry Variables Published For Banking Industry Country Risk Assessment Update: April 2024 - S&P Global Ratings’ Credit Research

Sector And Industry Variables Published For Banking Industry Country Risk Assessment Update: April 2024

Sector And Industry Variables Published For Banking Industry Country Risk Assessment Update: April 2024 - S&P Global Ratings’ Credit Research
Sector And Industry Variables Published For Banking Industry Country Risk Assessment Update: April 2024
Published Apr 26, 2024
4 pages (1649 words) — Published Apr 26, 2024
Price US$ 150.00  |  Buy this Report Now

About This Report

  
Abstract:

MEXICO CITY (S&P Global Ratings) April 26, 2024--S&P Global Ratings today published its sector and industry variables for "Banking Industry Country Risk Assessment Update: April 2024." The article provides additional information on the variables derived from the application of the criteria "Banking Industry Country Risk Assessment Methodology And Assumptions," Dec. 9, 2021. These variables are used primarily when applying our methodologies to develop the stand-alone credit profile and issuer credit rating of a financial institution ("Financial Institutions Rating Methodology," Dec. 9, 2021). In addition, some variables covered in this report are derived from our "Financial Institutions Rating Methodology," Dec. 9, 2021 and "Risk-Adjusted Capital Framework Methodology," July 20, 2017. This report is intended to be read and applied in conjunction

  
Brief Excerpt:

...This report does not constitute a rating action. The report is available to RatingsDirect subscribers at www.capitaliq.com. If you are not a RatingsDirect subscriber, you may purchase a copy of the report by sending an e-mail to research request@spglobal.com. Ratings information can also be found on S&P Global Ratings' public website by using the Ratings search box at www.spglobal.com/ratings....

  
Report Type:

News

Sector
Global Issuers, Public Finance, Structured Finance
Format:
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S&P Global Ratings’ Credit Research—S&P Global Ratings’ credit research provides analysis on issuers and debt obligations of corporations, states and municipalities, financial institutions, insurance companies and sovereign governments. S&P Global Ratings also offers insight into the credit risk of structured finance deals, providing an independent view of credit risk associated with a growing array of debt-securitized instruments.

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Cite this Report

  
MLA:
S&P Global Ratings’ Credit Research. "Sector And Industry Variables Published For Banking Industry Country Risk Assessment Update: April 2024" Apr 26, 2024. Alacra Store. May 11, 2024. <http://www.alacrastore.com/s-and-p-credit-research/Sector-And-Industry-Variables-Published-For-Banking-Industry-Country-Risk-Assessment-Update-April-2024-3159178>
  
APA:
S&P Global Ratings’ Credit Research. (). Sector And Industry Variables Published For Banking Industry Country Risk Assessment Update: April 2024 Apr 26, 2024. New York, NY: Alacra Store. Retrieved May 11, 2024 from <http://www.alacrastore.com/s-and-p-credit-research/Sector-And-Industry-Variables-Published-For-Banking-Industry-Country-Risk-Assessment-Update-April-2024-3159178>
  
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