Creating Opportunity Where It's Needed Most
A A A share

About IFC

About IFC > How We Manage Risk 

How We Manage Risk


IFC has a thorough approach to risk management in emerging markets, which includes:

 

  • Rigorous and conservative capital adequacy, using more demanding standards than are required to maintain a triple-A credit rating.
  • Conservative portfolio diversification guidelines by company, sector, and region.
  • Credit risk assessments and integrity due diligence for all investments.
  • Highest social, environmental, and corporate governance standards.

 

Investors who partner with IFC benefit from IFC’s experience managing risk in emerging markets.

Stay Connected