Report
EUR 166.22 For Business Accounts Only

Moody's updates its Money Market Funds Methodology

New York, December 21, 2016-- Moody's Investors Service has today published an updated Money Market Funds methodology, which replaces the methodology "Money Market Funds" published in December 2015.. This minor update provides additional clarification on the mapping between short term obligations and the long-term reference points that we use as inputs into the Credit Matrix and NAV stress models. In particular, it clarifies how we map non-traditional repurchase...
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Moody's Investors Service
Moody's Investors Service

Moody's Investors Service is a leading provider of credit ratings, research, and risk analysis. Moody's commitment and expertise contributes to transparent and integrated financial markets, protecting the integrity of credit. Our ratings and analysis track debt covering more than:

  • 130 countries
    11,000 corporate issuers
    21,000 public finance issuers
    76,000 structured finance obligations



Credit ratings and research help investors analyze the credit risks associated with fixed-income securities. Such independent credit ratings and research also contribute to efficiencies in fixed-income markets and other obligations, such as insurance policies and derivative transactions, by providing credible and independent assessments of credit risk.



Moody’s default studies validate our predictive ratings. Our published research and investor briefings draw thousands of attendees each year and keep investors current with the rationale underlying our credit opinions. 

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