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基金與資產管理 - Methodologies & Frameworks

The Funds & Asset Management Group is responsible for Moody's ratings of asset managers, money market funds, fixed-income funds (bond funds and exchange-traded funds), preferred shares and debt issued by closed-end funds, and other alternative investments.​​​

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  日期文件類型 主題 公司 / 組織
21 Feb 2024 Rating Methodology Rating Methodology: Subscription Credit Facilities
21 Feb 2024 Methodology Announcement Moody's introduces a methodology for rating subscription credit facilities
21 Feb 2024 Request for Comment - Results Subscription Credit Facilities: Proposed methodology
08 Feb 2024 Rating Methodology Rating Methodology: Public Pension Managers
02 Feb 2024 Request for Comment - Results Hybrid Equity Credit: Proposed Methodology Update (Japanese)
01 Feb 2024 Rating Methodology-Cross Sectr Hybrid Equity Credit methodology
 The document has been translated in other languages

01 Feb 2024 Rating Methodology-Cross Sectr Financial Statement Adjustments in the Analysis of Nonfinancial Corporations methodology
 The document has been translated in other languages

01 Feb 2024 Rating Methodology Rating Methodology: REITs and Other Commercial Real Estate Firms
 The document has been translated in other languages

01 Feb 2024 Methodology Announcement Moody's updates its methodology for hybrid equity credit
 The document has been translated in other languages

01 Feb 2024 Request for Comment - Results Hybrid Equity Credit, Financial Statement Adjustments and REITs: Proposed Methodology Updates
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