Standard & Poor’s has been providing value-added principal stability, credit, and volatility ratings, to fixed-income investment portfolios since 1984. Since then our ratings have helped provide investors, fund boards, and other constituents with an independent opinion of the risks inherent in their funds. We are the leading rating agency in this sector with over 950 ratings assigned globally to money market funds, fixed income funds, Exchange Traded Funds (ETF's), Local Government Investment Pools (LGIP's), and separate accounts.
Commentary & Criteria
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