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Highlights

  • 25 Apr 2024
    • Even hydrocarbon importers can face credit risks from carbon transition
      The shift to a low-carbon economy involves transforming energy systems and consumption and production patterns across all countries, raising risks for hydrocarbon importers as well as exporters.  Full Report​​​​​​​​​​​​​​​​​​​​​​​​​​
    • Liquid staking tokens may enhance investors' liquidity and yield
      As part of our “Bits, Bytes & Basis Points” series, we interview executives from digital assets data provider Amberdata about how ETH staking is being implemented in the industry.  Full Report​​​​​​​​​​​​​​​​​​​​​​​​
    • Nickel price drop is a boon for stainless steel and battery electric vehicle makers
      Growing nickel production fuels supply and lowers prices, which hurts miners but helps sectors that use the metal as a raw material.  Full Report​​​​​​​​​​​​​​​​​​​​​​
Press release coverage on rating actions that Moody's has taken on issuers.
Our rating methodologies describe the analytical framework rating committees use to assign ratings.  As set forth in the methodologies, they are not intended to present an exhaustive treatment of all factors reflected in our ratings.  Rather, they describe the key qualitative and quantitative considerations that are usually most important for assessing credit risk in a given sector.  Each rating committee applies its own judgment in determining whether or how to emphasize rating factors.

Although most of our methodologies apply to a particular industry, sector or class of issuers or transactions, some describe our approach to analytical considerations that aren’t specific to any single sector.  These cross-sector methodologies cover general credit-related topics and are typically used in conjunction with sector-specific methodologies to assign ratings.

The Methodology Development Group (MDG) develops and the Methodology Review Group (MRG) reviews and approves our methodologies for all rating groups, including sovereign, financial institutions, structured finance, corporate finance, and public, project and infrastructure finance.​​
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