Key advantages

Standard forecasting: create your own business and macroeconomic scenarios and use RRAS to produce monthly forecasts of portfolio behavior segmented by vintage, term, region or other segments. Stress-test your portfolio under scenarios of choice.

More than just a service: flexible scenario refinement options and special report types are available.

Comparative analysis: set your evaluations against broader credit data or compare your own portfolios and scenarios.

Behavior review: a portfolio’s history is a good indication of its driving factors and their impact on forecasting.

House expertise: our experts are excellent professionals with many years of experience handling credit portfolios around the world, and they are ready to share.

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