While 2023 started off optimistically, the first quarter revealed that intensifying credit pressures remained in control. Downside risks continue to rise, and hidden fragilities may yet be exposed. In this webinar replay, our panel of experts will explore the key trends market participants should watch to confront credit headwinds, deal with reshuffling capital flows, navigate geopolitical uncertainty, seek energy and climate resilience, and manage crypto and cyber disruption.
Speakers:
Osman Sattar, Director, EMEA Financial Institutions, S&P Global Ratings
Jose Perez-Gorozpe, Head of Credit Research - Emerging Markets, S&P Global Ratings
Marko Mrsnik, Senior Director - Sovereign Rating, S&P Global Ratings
Peter Gardett, Research and Analysis Executive Director, S&P Global Commodity Insights
Karla Gonzalez, Associate, Sovereign and International Public Finance, S&P Global Ratings
Andrew O'Neill, Senior Director, Rating Methodologies, S&P Global Ratings
Moderator:
Nicole Serino, Associate Director - Credit Research & Insights, S&P Global Ratings
This webinar was part of our Friday Credit Focus webinar series, designed to provide you with regular updates on credit risk and ratings across asset classes. We define the agenda and speakers for each episode based on market events, notable rating actions, and questions we receive from market participants.
Please contact us if you need more information or have trouble accessing the webinar replay.