Insights and strategies: Navigating Europe’s debt capital market dynamics
Presented by
Mohsin Ali Khan, S&P Global Market Intelligence; Atul Sodhi, Crédit Agricole CIB; Pierre Verlé, Carmignac
About this talk
In this webinar, we will take a deep dive into the current state of the European debt market, changes in sector dynamics and types of debt being issued, the pressure on the real estate market and how best to navigate this complex landscape effectively.
This webinar will explore:
- Key DCM trends and themes across Europe, the Middle East and Africa
- How markets are looking at different asset classes like FIG and corporate bonds
- Stress on European real estate bonds and implications for banks
- How the interest rate environment has affected the yield curve – is there demand for duration?
- Eurozone inflation is falling but will it lead to an end to interest rate hikes? How should banks/ investors/ issuers position themselves?
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