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Our world-class research, analytics and indexes help you make better investment decisions by providing the tools and solutions that you need to navigate complexity with confidence.
Global investing conference 2021
Total Portfolio Footprinting
Carbon footprinting across asset classes, aligned with the Partnership for Carbon Accounting Financials’ (PCAF) methodology.
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Solutions for Banks
Risk Management at MSCI
MSCI’s powerful multi-asset class risk and performance analytics and technology support
Equity Factor Models
Designed for building resilient portfolios as market conditions change.
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Research for Banks
MSCI’s research organization is a multi-disciplinary team made up of over 200 professionals globally specializing in ESG, fixed income, global equities, multi-asset classes and private assets.
Stress Testing Portfolios for Climate-Change Risk
How quickly companies implement net-zero pledges can affect the value of investments. Stress testing can be used to test how the valuation of a portfolio could change under different climate transition speeds or scenarios chosen by the investor.
Factors in Focus: Where’s the Value in Defensive Positioning?
Throughout the third quarter, investors shifted attention to risks from inflation, tapering and potential interest-rate rises. We analyze global equities and the rotation toward defensive factors.
Assessing Private Infrastructure in a Multi-Asset-Class Portfolio
Private infrastructure is a popular element of institutional capital allocations, and increased focus on renewable or carbon-neutral infrastructure may mean significant new investment opportunities. What role could it play in a multi-asset-class portfolio?
Housing-Bubble Déjà Vu
The U.S. in the past year recorded the highest national house-price appreciation in recent decades. Does the run-up in home prices represent housing-bubble déjà vu? And what can MBS investors do to assess their mortgage credit risk?
Stress Testing Portfolios for Climate-Change Risk
How quickly companies implement net-zero pledges can affect the value of investments. Stress testing can be used to test how the valuation of a portfolio could change under different climate transition speeds or scenarios chosen by the investor.
Factors in Focus: Where’s the Value in Defensive Positioning?
Throughout the third quarter, investors shifted attention to risks from inflation, tapering and potential interest-rate rises. We analyze global equities and the rotation toward defensive factors.
Assessing Private Infrastructure in a Multi-Asset-Class Portfolio
Private infrastructure is a popular element of institutional capital allocations, and increased focus on renewable or carbon-neutral infrastructure may mean significant new investment opportunities. What role could it play in a multi-asset-class portfolio?
Housing-Bubble Déjà Vu
The U.S. in the past year recorded the highest national house-price appreciation in recent decades. Does the run-up in home prices represent housing-bubble déjà vu? And what can MBS investors do to assess their mortgage credit risk?
Banks Product Lines
Index
MSCI indexes are built on our Modern Index Strategy, which provides consistent treatment across all markets and ensures best practices in investability and replicability, avoiding benchmark misfit and uncompensated risks.
Analytics
Our Analytics offers a full view of risk and return with content and tools to help understand market, credit, liquidity and counterparty risk across all major asset classes, spanning all time horizons.
ESG
MSCI ESG Research measures and models environmental, social and governance (ESG) risk to provide critical insights that can help investment managers understand how ESG can impact the long-term risk and return profile of their investments.
Real Estate Investing
Real Estate research and business intelligence provide tools and insights to institutional investors and real estate owners, managers, brokers and occupiers worldwide on public and private real estate assets.