Chemicals: Capacity, Credit Stress & Middle East

Know More. Risk Better. Podcast | Season 10, Episode 10

In this episode of the Know More. Risk Better. podcast, host Zachary Griffiths speaks with Andrew Brady, Andy Belton and Peter Agra about the embattled chemicals sector navigating multiple headwinds in 2026. They dive deep into the Middle East conflict’s impact, analyzing how oil price spikes and supply disruptions are creating feedstock cost mismatches and the credit implications for US versus European producers. The conversation explores the structural challenges facing European chemicals, with persistent oversupply requiring 800,000 tons of PVC capacity closures and companies like INEOS Group and Quattro trading at distressed levels amid 2027 maturity concerns. They also discuss the Bayer-Monsanto litigation saga, examining the Supreme Court case, proposed settlement structure, and Trump administration’s glyphosate defense exemption reshaping risk premiums. The episode concludes with insights on investor rotation from software into cyclical chemicals exposure, including the limited impact of Germany’s $500 billion infrastructure package and secondary market dynamics. Listen now to gain expert perspectives on chemicals sector credit views and strategic positioning opportunities amid unprecedented volatility.

Watch on YouTube:

Speakers:

Zachary Griffiths, CFA, Head of IG & Macro Strategy, CreditSights:
Zachary leads US investment grade and macro strategy, frequently appearing on Bloomberg TV and CNBC with expertise in credit markets.

Andrew Brady, Head of US Basic Industries, CreditSights:
Andrew oversees Basic Industries coverage with 30 years of expertise in crossovers, fallen angels, distressed credits, and special situations analysis

Andy Belton, Head of European Basic Industries, CreditSights:
Andy coordinates European Basic Industries coverage, specializing in building materials, construction, chemicals, and transportation infrastructure sectors globally.

Peter Agra, Managing Editor, LevFin Insights:
Peter covers US high-yield primary bond markets and secondary trading across multiple sectors, previously reporting on Middle Market distressed debt.

Timestamps:

00:00 – Introduction
02:24
– Middle East Conflict & Feedstock Impact
07:13 – European Oversupply & Structural Challenges
15:13 – Investor Rotation: Software to Chemicals
22:25 – INEOS Group vs Quattro Analysis
28:49 – Bayer-Monsanto Litigation & Settlement
35:05 – Conclusion & Key Takeaways

Listen on Audio:

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