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Please see below a regional breakdown of the latest articles from our Financial Institutions team.
Latest Publications From Our Bank Analysts
This is the second edition of the survey, where we polled our global network of analysts about the credit environment for the year ahead. A total of 135 credit analysts across all major regions provided answers about four themes – credit trends and risks, macroeconomic and competitive environment, emerging risks and financial expectations. View the results
North America:
Europe:
Emerging Markets:
Global Publications From Other Sectors
For the past decade, China has experienced rapid growth in newly issued corporate debt (financial and nonfinancial), at an average rate of nearly 50% year over year. Issuance slowed in 2017 but resumed growth in 2018, with $2.6 trillion of new debt issued as of the end of the third quarter... Learn more
It is now more than 10 years since the global financial crisis began and the risk landscape is changing again. Key central banks have entered a phase of quantitative tightening--raising rates or ending asset purchase programs. View the report
Recent Rating Actions
Upcoming Events
27 - 21 Feb, 2019 | 14:00 p.m. Hong Kong Time | Live Webcast
28 Feb, 2019 | Online | 9:30am New York; 2:30pm London; 3:30pm Central Europe | Live Webcast and Q&A
09 Apr, 2019 or 11 Apr, 2019 | 08:00 a.m. (local time) | Cape Town
Webcast replays:
For access to more of our research and insights, please visit our dedicated Financial Institutions webpage. If you have any questions regarding the reports included in this email, or would like to get in touch with one of our analysts, please contact us.
Kind regards,
Alex Birry Managing Director
Head of Analytics & Research - Financial Institutions
S&P Global Ratings
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