Sluggish economic growth, concerns about inflation, and predictions of a recession have caused many investment managers to reevaluate their portfolios. Amid such market uncertainty, the need for risk management to help navigate the current market environment continues to grow in importance.
During this webinar, S&P Global experts will review the current landscape and various investment risk factors facing asset managers today. In addition, our panel will showcase the tools that financial professionals can leverage to better measure and manage the risk of their portfolios, including:
How to use S&P Capital IQ Pro to assess various areas of risk including country, economic, and climate risk
Early warning signs of potential credit risk exposure through our suite of credit and risk solutions
Leveraging the Financial Risk Analytics forecasting capability to gain market insights on your portfolio
Speakers
Nicholas Ephraim Senior Product Manager S&P Global Market Intelligence
Bob Durante Senior Director, Credit & Risk Solutions S&P Global Market Intelligence
Joanna Reis Americas Head of Sales, Credit and Risk Solutions
S&P Global Market Intelligence
Luke Armstrong Buy Side Risk Product Manager S&P Global Market Intelligence