Connecting Clients with Hidden Value
GLOBAL LEADER IN VALUATION SERVICES, ANALYTICS, SPECIAL INTELLIGENCE, CUSTOMIZED CONSULTING & FINANCING SOLUTIONS
$1.4 trillion
Market Value, Bonds and Loans Priced
250,000+
Individual Bonds and Loans Priced
80+
Countries
Corvid was established to deliver independent, market-based valuations of fixed-income securities, providing a clear view of current market pricing beyond traditional book values. Our initial focus encompassed corporate bonds, structured products, and municipals. Over time, our coverage has expanded to include a broader universe of illiquid assets such as military housing bonds, sovereign debt of sanctioned nations, government-guaranteed instruments, infrastructure projects, music royalties, and film libraries.
As client partnerships deepened, Corvid has evolved from a valuation provider into a strategic advisor, extending its capabilities across consulting, analytics, and other specialist domains. While bond and loan pricing remains our core discipline, our expertise lies in delivering robust, market data-driven solutions to some of the most complex and unique financial and special situations faced by institutions worldwide.
Corvid Partners is one of the largest contributors globally to Bloomberg Valuations for illiquid and hard-to-value assets, bonds, securities, and loans.
Three Gorges Dam, China
Panama Canal Expansion, Panama
Chernobyl Confinement, Ukraine
TRUSTED PARTNER SINCE 2015 IN VALUATION SERVICES, ANALYTICS, SPECIAL INTELLIGENCE, AND CUSTOMIZED CONSULTING & FINANCING SOLUTIONS
Providing bond and loan valuations for a wide range of liquid, illiquid, and structured fixed income securities.
Corvid Partners provides bond valuations on a wide range of fixed-income securities. Our pricing services are available on single securities or across entire portfolios. Pricing can be provided as often as daily or as infrequently as annually, depending on your requirements. Our expertise and analytics have expanded over the decade to include most of the fixed income world—from the hardest-to-value to the most liquid securities and indices.
Corvid uses a market price approach to valuing assets. All our valuations take into account current market appetite for risk and liquidity, as well as relevant execution data such as trade size and timescale. Many sectors we value include our use of data points, indices, and sentiments from upwards of 40 sources. But we don’t stop there…
What Makes Us Unique
After our models generate curves and prices, we carry out a regular hand pricing exercise on our more illiquid and hard-to-price assets to ensure consistency and accuracy.
Our pricing models are built and maintained using standard market methodologies. All our models are continually monitored for accuracy and consistency versus execution data.
Managed by teams of experienced credit structurers and traders, our valuation processes provide a transparent and unbiased view of debt markets worldwide.
Who We Help
Across the globe, at institutions big and small, we have assisted both Sell-Side and Buy-Side Traders, Desk Heads, Portfolio Managers, Investors, Bankers, Risk Managers, Accountants, Controllers, Regulators, Lawyers, C-Suite Executives, Government Leaders, Boards, and Valuation Professionals at all levels.
Our Unbiased Approach
We’re not theorists—We’re practitioners
Corvid Partners combines the perspective of traders with the analytical discipline of market strategists and the structural precision of product specialists. We consider an originator’s or banker’s view of value as one of many inputs — valuable, but never singular. Our approach is independent, data-driven, and informed by those embedded in the markets, yet always with a broad, forward-looking perspective.
Each valuation and analytic output we produce is anchored in market data, liquidity intelligence, trader sentiment, and decades of transactional experience across asset classes.
We work in close partnership with our clients — including global banks, sovereign institutions, regulators, insurers, and asset managers — to deliver transparency, contextual insight, and a deep, partner-level understanding of complex and often opaque markets.
From Market Chaos to Market Clarity
Corvid Partners was born in the aftermath of the global financial crisis—out of a realization that even the most sophisticated institutions struggled to understand what their assets were truly worth when liquidity vanished.
Our founders, as position traders, structurers, analysts—risk takers and risk managers—for some of the world's largest and most active banks and investment banks have experienced firsthand how traditional valuation methods fell short when markets were under stress. What the industry needed wasn't just more data, more models, or better AI—it needed unbiased judgment rooted in real trading, market experience, and a view of how those markets actually behave when it matters most.
That insight became Corvid’s foundation.