From Macro to Micro – Analyzing Economic Factors and Their Impacts on Key Industries

Overview

Title: From Macro to Micro – Analyzing Economic Factors and Their Impacts on Key Industries

Duration: 1 hour

Register On-Demand:
Summary

Global debt has surpassed $300 trillion and higher borrowing costs are creating stress throughout the financial system. Interest rate hikes were implemented to slow inflation and spur growth, but it is still unclear if this will happen. As investors seek new opportunities, there remains concern about how much bandwidth remains for new deals and what kind of volatility might be on the horizon for specific sectors.

Join our complimentary webinar to discuss 2023 market developments with our team of experts. Our panel will address:

  • Macroeconomic trends that are affecting the financial markets
  • The impact of interest rates and other metrics on economic performance
  • Industry-level insights on key trends within the banking, CRE and public finance sectors
  • What lies ahead for maturing debt, equities, dealmaking, corporate risk factors, and more

Speakers
Chris Hudgins
Real Estate Analyst
S&P Global Market Intelligence
Ingrid Lexova
Economics, Markets and Trade Reporter
S&P Global Market Intelligence
Satyam Panday
Chief US Economist
S&P Global Ratings
Nathan Stovall
Director of FIG Research
S&P Global Market Intelligence
Brian Scheid (Moderator)
Senior Reporter, Global Markets
S&P Global Market Intelligence
 
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