• Managing Risk in the Credit Crunch

    No. 5, June 2008

    What tools and techniques should risk managers use when times — and customers — turn bad?

Read the Fair Isaac Insights paper, "Managing Risk in the Credit Crunch"

There’s no shortage of reporting on the dire state of credit portfolios, but there has been considerably less analysis aimed at helping risk managers do their job and deal with their portfolio’s credit health. In this paper, Fair Isaac’s risk management experts review general changes in risk performance, and ask the questions:

  1. Are risk tools working?
  2. What actions are risk managers taking now?
  3. What more can risk managers do to improve control on existing exposure?

More white papers:

  • Improve Control over Strategic Portfolio Management

    No. 4, June 2008

    Read the Fair Isaac Insights paper, "Optimizing Trade-Offs for Strategic Portfolio Management"

  • Are Today's Market Pressures Reshaping Credit Risk?

    No. 3, May 2008

    A new study explores FICO score trends in dynamic times
    —and how lenders can respond

  • Are You Paying Too Much for Clicks?

    No. 2, April 2008

    Read the Fair Isaac Insights paper, "Closing the Value-Price Gap in PPC Advertising"

  • How Much Credit is Too Much?

    No. 1, February 2008

    How much credit can a consumer handle? Will your new loan be the one that pushes a "good" borrower over the edge?