Statements (55)
Predicate | Object |
---|---|
gptkbp:instanceOf |
credit rating
|
gptkbp:assignee |
gptkb:Standard_&_Poor's
corporate bonds government bonds |
gptkbp:associated_with |
lower borrowing costs
higher investor confidence |
gptkbp:communicationEquipment |
adequate capacity to meet financial commitments
stable outlook |
gptkbp:futurePlans |
gptkb:BBB_(S&P)
|
https://www.w3.org/2000/01/rdf-schema#label |
BBB+ (S&P)
|
gptkbp:influenced |
market trends
economic conditions regulatory environment industry risk issuer's financial performance |
gptkbp:is_a_dish_that |
gptkb:BBB_(S&P)
A- (S&P) |
gptkbp:is_a_resource_for |
investment decisions
bond yields loan pricing |
gptkbp:is_a_subject_of |
periodic review
|
gptkbp:is_part_of |
financial regulations
investment analysis S&P_Global_Ratings_scale S&P's_credit_rating_categories |
gptkbp:is_used_in |
financial institutions
financial markets investors risk management strategies credit analysts credit derivatives evaluating creditworthiness |
gptkbp:mandates |
investment grade
|
gptkbp:rating |
municipal bonds
structured finance products sovereign debt long-term debt |
gptkbp:reflects |
moderate credit risk
|
gptkbp:related_to |
risk assessment
portfolio management credit risk evaluation |
gptkbp:updates |
A- (S&P)
|
gptkbp:was_a_factor_in |
financial forecasting
market liquidity capital allocation decisions asset allocation decisions financial stability analysis investment risk assessment credit portfolio management investment grade classification credit analysis methodologies credit spread determination default probability assessment investment strategy formulation risk-adjusted return calculations |