MARS Presentation on Credit Risk Analytics
Low growth, high inflation, and geopolitical turmoil can obscure market opportunities. Our tools cut through the noise and reveal hidden leverage.
MARS Credit Risk Analytics has robust quantitative risk models that have historically predicted with 92% accuracy, making it an essential asset for sophisticated investors.
Join our expert David Croen as he demonstrates a walkthrough of this tool, from uploading a portfolio to changing the inputs and macroeconomic situations to customize the portfolio's credit risk calculation. In addition, David explains historic cases of companies such as Express and WeWork where our models indicated distress long before the market saw it coming.
Enhance your portfolio construction and exposure to credit risk with this in-depth explanation of how to utilize our MARS credit risk tools.