Fixed Income and Credit Research

CA&R’s industry-leading fixed-income and credit practice works with the world’s foremost sell-side and buy-side firms. One of the foremost third-party research teams, the unit, supports fixed-income and credit activities across client sections, products and geographies, rating categories and providing matchless credit research capabilities to our clients worldwide. Its leadership team has wide experience in organizing world-class analysts to offer cutting-edge research services.

CA&R has offered expertise across most fixed-income products, including investment-grade, rates, high-yield, leveraged finance, distressed debt, structured products, emerging markets, public finance, and goods. We have carried out numerous research activities for these products to support our clients, such as rating forecasts, fundamental credit analysis, cash flow modeling, capital structure analysis, risk reporting and thematic studies.

CA&R’s credit research services cover the areas of:

  1. Investment Grade

  2. High Yield and Leveraged Finance

  3. Distressed Debt

  4. US Municipals

  5. Sovereign Debt

  6. Structured Products

  7. Markets

  8. Convertibles