All credit risk articles
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Analysis
What the $30trn global liquidity gap means for risk managers
Against the backdrop of increasing credit and liquidity risk, we explore how risk managers can help their organisations to mitigate these threats
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Analysis
Countries shifting into opposing blocs, finds Political Risk Index
The Western bloc has lost ground in all world regions, presenting risks for multinational companies
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Analysis
Banking CROs face ‘torrent of interwoven complexities’
Cybersecurity is the main risk globally for three out of four banking CROs, while geopolitics tops concerns for those in Europe
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Analysis
Demand for contract frustration grows as economy deteriorates
Cost of insurance against defaults on sovereign debt jumps by 102% as corporates also seek cover for cancelled contracts
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Analysis
Emerging risks and the “COVID effect”
Government support programmes have kept alive unviable zombie companies, while wealth inequality has broadened, finds Swiss Re SONAR
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Analysis
2020 insolvencies jump amid COVID-led recession
Global corporate insolvencies are forecast to increase by 26% in 2020, led by Portugal, the Netherlands, Spain and UK in Europe