The imprint of Kingdom's economic transformation on banks' rating methodology design

How Vision 2030 and lower oil revenues necessitate wearing a finer lens when evaluating banking sector risk

Embedding sustainability and responsible practices in rating framework design

How a greater policy focus on sustainability is motivating a re-examination of risk and opportunity

Investment Advisory Conundrum: Satiating a risk-seeking appetite by chalking out alpha amidst market turbulence

How investment strategy and security selection defied market-wide small-cap stocks trends

Modeling Valuation Convolutions: Disentangling Growth Drivers for Investor Readiness

Enabling financial oversight and strategy design