Analyze early workforce signals, like hiring delays, vacancy persistence, and labor cost mismatches, to identify borrower stress before it appears in financials.
Learn how to use industry research to diversify C&I lending portfolios, strengthen credit defensibility, and reduce concentration risk in a high-stakes lending environment.
Assess global workforce instability across key industries and adapt credit strategies to protect margin and repayment resilience.
Continuous risk monitoring enables credit teams to catch emerging risks early, optimize portfolios and make defensible lending decisions in real time.
Manage sector concentration risk by identifying early warning signs of overexposure and applying targeted strategies to protect your loan portfolio’s stability and performance.
IBISWorld partners with nCino, building an integration to give credit teams industry insights directly within their workflows.
IBISWorld
3 min read
Learn how industry volatility impacts credit risk and discover practical strategies to strengthen underwriting and manage portfolio exposure.
With Falguni Desai, Sr. Strategy Advisor in Banking & Capital Markets at Microsoft, explore strategies for banks across various divisions to navigate tariff uncertainty.
IBISWorld
8 min read
Explore how our Trade Tariff Exposure Tool helps businesses assess tariff risks, protect supply chains, plan strategically, and support smarter investment decisions.
IBISWorld
6 min read