Lenders and services providers are seeking ways to better understand the potential impact of today's dynamic environment on their portfolios and model strategies. In this time of rapid response, Equifax data and analytics experts share key learnings gleaned from extensive analytic and simulation exercises. Learn how digging into the data with agility can lead to improved model governance, risk management, and customer engagement.
This webinar will cover:
U.S. Economic Update
Consumer Credit, Employment and Forbearance Insights
Score Monitoring Best Practices and Simulations for Improved Risk Management
Better understand economic impact on portfolio performance through simulations
Leverage analytics to more actively adjust to dynamic economic situations
Identify data and attribute overlays to better manage through economic uncertainty
Learn strategies to proactively improve risk management and acquisition strategies
Webinar broadcast date: 5/07/2020
For more on how you can navigate this time of economic uncertainty, visit our Market Pulse page.