Enjoy this rich library of webinar recordings, conference webcasts, and e-learning materials.
Filter Resources
Use It or Lose It: Capital Preservation in an Inflationary World
2022 should be a pivotal year for the Fed and global economy as the current generation of investors may see sustained inflation for the first time.
US Financials: Looking for Storm Clouds in Calm Seas
LIBOR transition, inflation, and interest rates loom as key considerations for investing in the sector in 2022.
Energy Transition: Multisector Risks & Opportunities
We discuss the constantly evolving topic of energy transition, where the risks aren’t priced in, new technologies we are tracking and the opportunities for investors.
What’s in a Rating? Pandemic Edition
We discuss opportunities created by these dislocations and highlight credits with upgrade/downgrade potential, including those with crossover potential.
Coming out of the pandemic-driven default cycle, a shrinking distressed universe provides investors with a limited opportunity set, while demand for private lending and leveraged loans accelerates.
Municipals credit, on the back of Federal stimulus, proved its resilience throughout the pandemic. Reopening is broadly moving forward, albeit in fits and starts
Easy Money, Fast Cash, and the TMT Sector in 2022
With companies flush with cash, our team will discuss how they expect companies in the TMT sectors to spend in 2022; will it be M&A, or shareholder rewards?
Will the (Supply) Chain Break?
We discuss the challenges facing these key industries into 2022, our expectations for commodity prices and how these moving pieces may impact operations and valuations.
European Banks: Who Gives a FAQ?
We discuss the most frequently asked questions on European banks over the past few months, including interest rate sensitivity, asset quality, M&A, supply forecasts and relative value.
Round the Sectors: Euro IG Picks and Pans
We discuss our picks and pans across the main sectors in the Euro IG market.
We look at the rise of green bonds as a major asset class in European credit, including the risks of greenwashing, regulation and relative value opportunities.
Asia Strategy and Picks & Pans
Investment themes and trade ideas for volatile markets.
Know More. Risk Better. A CreditSights Podcast.
In this Season of the podcast, CreditSights Global Head of Strategy, Winnie Cisar, and Senior Strategist, Zachary Griffiths, interview our sector analysts to get their outlooks for the year. With our guests from industry leaders and experienced practitioners, listen as they deliver informative and engaging discussions on the latest trends and developments in the market.
Know More. Risk Better.®
Sign up to receive our latest credit insights direct to your inbox.