Climate Linked Credit Analytics Webinar Series

Overview

Title: Assessing the Impact of Climate-Related Transition Scenarios on Oil & Gas Firms' Creditworthiness

Duration: 1 hour 

Watch On Demand
Summary

The impact on the environment from anthropogenic greenhouse gas emissions (GHG) is now top of the agenda for many policy makers, risk, and investment professionals. This has led to governments leveraging policy tools, such as carbon taxes, to reduce this impact, which has introduced a financial risk component.
 
In the second of our Climate Linked Credit Analytics webinar series, we’ll be looking at the impact of climate-related transition scenarios on oil & gas firms’ creditworthiness.
 
In this webinar, we will:
  •  Address the challenges faced by risk managers and investors in assessing the impact and opportunities of climate-related risks on public firms’ creditworthiness
  •  Introduce S&P Global Market Intelligence’s newly developed Climate Linked Credit Analytics tool
  •  Showcase how to run energy-transition analysis on the tool over a short time horizon

Speakers

Sid Dawuda
Director, Credit Risk Solutions
S&P Global Market Intelligence

Luka Vidovic
Senior Analyst, Analytic Development Group
S&P Global Market Intelligence

Cristiano Zazzara Ph.D.
Managing Director, Head of Risk Services EMEA
S&P Global Market Intelligence

Dr. Cristiano Zazzara is Managing Director and Head of Risk Services Relationship Management, focusing on key market stakeholders, including C-level Executives and Regulators. He is an expert in financial risk management with over 20 years’ experience at banks, government agencies, service providers, Universities and think tanks.

Cristiano joined S&P Global Market Intelligence from MSCI Risk Metrics where he was the Head of Market, Credit, Counterparty Risk and OTC Clearing Business for the EMEA Banking sector and Global Head of Credit Advisory Business for Buy-side and Sell-Side Institutions. Previously, he was Managing Director in the Research & Strategy Unit of Unicredit Group, Managing Director and Head of the Internal Rating Unit at Capitalia Banking Group, and General Manager of the Italian Association of Banking and Finance (ASSONEBB). Dr. Zazzara also served as a financial economist at the Fondo Interbancario di Tutela dei Depositi, where he was the Head of the Research Department.

Dr. Zazzara received a BSc in Economics & Business and a MSc in Banking from the University La Sapienza of Rome, and a PhD in Management (Finance) from the Swiss Federal Institute of Technology in Lausanne (EPFL).

Cristiano Zazzara Ph.D.
Managing Director, Head of Risk Services EMEA
S&P Global Market Intelligence

Dr. Cristiano Zazzara is Managing Director and Head of Risk Services Relationship Management, focusing on key market stakeholders, including C-level Executives and Regulators. He is an expert in financial risk management with over 20 years’ experience at banks, government agencies, service providers, Universities and think tanks.

Cristiano joined S&P Global Market Intelligence from MSCI Risk Metrics where he was the Head of Market, Credit, Counterparty Risk and OTC Clearing Business for the EMEA Banking sector and Global Head of Credit Advisory Business for Buy-side and Sell-Side Institutions. Previously, he was Managing Director in the Research & Strategy Unit of Unicredit Group, Managing Director and Head of the Internal Rating Unit at Capitalia Banking Group, and General Manager of the Italian Association of Banking and Finance (ASSONEBB). Dr. Zazzara also served as a financial economist at the Fondo Interbancario di Tutela dei Depositi, where he was the Head of the Research Department.

Dr. Zazzara received a BSc in Economics & Business and a MSc in Banking from the University La Sapienza of Rome, and a PhD in Management (Finance) from the Swiss Federal Institute of Technology in Lausanne (EPFL).

 
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