Explore Crisil, a company of S&P Global

Formerly known as Market Intelligence & Analytics

The problems we solve

Security-Level Valuations for Indian Debt Securities Market
 

Case Studies

Our product standardized debt security pricing across asset management companies

Unlocking wholesale finance opportunities for a lender
 

Case Studies

Our informed decisions enabled NBFC's successful wholesale lending portfolio launch

Comprehensive Company Reports for TReDS Platform Lenders

Case Studies

We help in decision-making with comprehensive borrower reports and analytics

Turning scattered market
data into meaningful
business insights

Mutual fund case

Transforming scattered data into
actionable insights for smarter business
strategies

Turning scattered market
data into meaningful
business insights

Mutual fund case

Transforming scattered data into
actionable insights for smarter business
strategies

Turning scattered market
data into meaningful
business insights

Mutual fund case

Transforming scattered data into
actionable insights for smarter business
strategies

Turning scattered market
data into meaningful
business insights

Mutual fund case

Transforming scattered data into
actionable insights for smarter business
strategies

Turning scattered market
data into meaningful
business insights

Mutual fund case

Transforming scattered data into
actionable insights for smarter business
strategies

Turning scattered market
data into meaningful
business insights

Mutual fund case

Transforming scattered data into
actionable insights for smarter business
strategies

Turning scattered market
data into meaningful
business insights

Mutual fund case

Transforming scattered data into
actionable insights for smarter business
strategies

Turning scattered market
data into meaningful
business insights

Mutual fund case

Transforming scattered data into
actionable insights for smarter business
strategies

Turning scattered market
data into meaningful
business insights

Mutual fund case

Transforming scattered data into
actionable insights for smarter business
strategies

 

 

 

 

Our solution components

 

 

Industry research

India's largest independent research house, providing insights on economy, industry, capital markets, and companies. We cover 75+ sectors, offering rich perspectives, and play a key role in fixed income markets, providing valuation and indices to mutual fund, insurance, and banking industries.
 

  • Comprehensive Sector Insights covering 75+ Indian sectors
  • Risk Scores for 200+ Sub-Industries
  • In-Depth Special Reports in focus sectors providing detailed insights

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Economy research

We provide comprehensive analysis of global economic trends, interest rates, fiscal policies, and trade dynamics. Our experts engage in customized presentations and panel discussions, offering in-depth insights on the Indian economy and emerging macroeconomic trends.

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Company Research

Our comprehensive framework assesses business, financial, industry, and peer performance. We provide in-depth group analysis, covering funding needs, capital structure, profitability, sector exposure, operational and financial dependence, governance, and connected lending risks.

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Data as a Service

Our integrated data and analytics platform is designed to empower high-quality and efficient decision-making. Our platform is built by leveraging the rich, proprietary data, deep-dive research capabilities, and unmatched experience in analytics.

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Indices & Benchmarks

We provide asset managers, wealth managers and investors with indexing solutions on fixed income and hybrid strategies that support benchmarking and development of passive products. Our AIF benchmarks provide investors with a metric to measure an AIF’s performance with category and sub-category peer aggregates.

Investment Product Research

We evaluate performance of investment products on qualitative and quantitative metrics. Our Fund Management Grading assesses investment processes and management practices. Our Mutual Fund Ranking provides a comprehensive analysis of mutual funds based on performance and risk attributes.

Valuations for Financial Instruments

We provide asset managers, issuers, investors, custodians with valuations of financial instruments across asset classes to cater to investor, regulatory and risk management requirements.

 

 

 

 

 

 

 

 

Recognitions

The confidence we deliver is felt across
boardrooms, markets, and industries.

 

 

#37 in Chartis RiskTech 100 | 2025

Chartis RiskTech 100 Model Validation | 2025