Webinar Replay: APAC Energy Sector Credit Overview
Date:
April 24, 2018
Location:
On Demand
Only NaN day[s] left!
An informative discussion about some of the recent developments in the China energy sector, including the impact of the government’s war on smog and what that means for credit risks in coal, oil & gas, and renewables.
In addition, Paul Bishop, Director, Credit Analytics, S&P Global Market Intelligence provides an analysis of:
- High risk sectors in the energy supply chain in APAC - China energy sector developments and risk outlook for 2018 - Trends in customer finance and supply chain risk management
We will also show you how some of our tools can help you identify early warning signals of deteriorating credit quality and mitigate risks to your portfolio.
Paul BishopDirector, Credit Analytics, S&P Global Market Intelligence
Paul Bishop is a Director in S&P Global Market Intelligence’s Credit Analytics team, based in Singapore. Full Bio
Paul Bishop is a Director in S&P Global Market Intelligence’s Credit Analytics team, based in Singapore. He is the Product Lead for Credit Analytics Products in APAC. Paul has experience as a product manager in the credit and counterparty risk space and was previously the Product Manager for Ratings & Credit Content in EMEA, based in London. Prior to this Paul focused on market strategy covering Investment & Commercial Banks, Private Equity and Credit Markets. Before working at S&P Global, Paul was a Private Equity analyst focusing on the infrastructure asset class. Minimize
Paul BishopDirector, Credit Analytics, S&P Global Market Intelligence
Paul Bishop is a Director in S&P Global Market Intelligence’s Credit Analytics team, based in Singapore. Full Bio
Paul Bishop is a Director in S&P Global Market Intelligence’s Credit Analytics team, based in Singapore. He is the Product Lead for Credit Analytics Products in APAC. Paul has experience as a product manager in the credit and counterparty risk space and was previously the Product Manager for Ratings & Credit Content in EMEA, based in London. Prior to this Paul focused on market strategy covering Investment & Commercial Banks, Private Equity and Credit Markets. Before working at S&P Global, Paul was a Private Equity analyst focusing on the infrastructure asset class. Minimize
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