Navigating Risks: Volatile Markets in Focus

Overview

Title: Navigating Risks: Volatile Markets in Focus

Duration: 1 Hour

Register On-Demand
Summary

As governments, corporations, financial services, and consumers navigate growing uncertainties, it has become critical to reassess levels of engagement,
exposure, and opportunities in volatile markets.

Join Market Intelligence for an interactive webinar that will examine increased risks and cross-sector impacts across key industries. Our cross-divisional panelists will share market insights with evolving economic and country risks and outlooks, public and private sector market analysis, including energy, supply chain, credit risks and more.

Attendees of this webinar will gain insights into the following:

  • Macroeconomic trends and impacts across markets and geographies
  • Deep dive on credit risks, with an examination of commodities and energy investment trends
  • Explore trade and supply chain risks & opportunities

Speakers
Dr. Daniel Ostrowski
Director - Government Affairs and Public Policy
S&P Global (Moderator)
Sylvain Broyer
EMEA Chief Economist
S&P Global Ratings

Chris Williamson
Chief Business Economist
S&P Global Market Intelligence
Camilla Naschert
Renewable Energy Reporter
S&P Global Commodity Insights
Mark F. Esposito
Principal Research Analyst, Maritime & Trade
S&P Global Market Intelligence

 
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