Research & Ratings: Metodologias de Rating - Moody's
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  • On 14 May 2012, Moody’s announced rating actions on a number of Italian financial institutions and affected credits across several asset classes. Because of the large number of rating changes resulting from these actions, ratings appearing on this website may not yet reflect current information. For current information on banking credits, please visit the Bank Ratings 2012 Topic Page. For current information on European credits, please visit the EU Sovereign Crisis and Affected Credits Topic Page.
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Metodologias de Rating

Moody's approaches to assessing risk. 
 
We invite market participants to provide feedback on requests for comment, or existing methodologies, by sending comments to cpc@moodys.com.

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  DataTipo de DocumentoTítuloEmissor/Entidade
08 May 2012 Rating Methodology Moody's Approach to Rating SF CDOs
02 May 2012 Rating Methodology US Public Housing Authority Capital Fund Bonds
02 May 2012 Rating Methodology Moody's Methodology for Rating Securities Issued by U.S. Closed-End Funds
25 Apr 2012 Rating Methodology Waste-to-Energy Projects
02 Apr 2012 Rating Methodology Moody's Approach to Rating Securities Backed by FFELP Student Loans
30 Mar 2012 Rating Methodology Incorporation of Joint-Default Analysis into Moody's Bank Ratings: Global Methodology
 The document has been translated in other languages

27 Mar 2012 Rating Methodology US Public Finance Special Tax Methodology
19 Mar 2012 Rating Methodology Finance Company Global Rating Methodology
12 Mar 2012 Rating Methodology Not-for-Profit Healthcare Rating Methodology
23 Feb 2012 Rating Methodology Moody's Approach to Counterparty Instrument Ratings
    © 2012 Moody's Investors Service, Inc., Moody’s Analytics, Inc. e/ou afiliadas e licenciadas. Todos os direitos reservados.
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