Financials in Forty-Five: Surviving in 2025: BI Replay
Another year beckons! What will 2025 hold for financial institutions’ bonds? After consecutive years of solid returns, could performance be much more volatile? Heading into 2025, many of the key themes that have driven performance of financial institutions’ bonds so far this year - including geopolitics, elections, regulation, asset quality and funding/liquidity - all remain topical; albeit to varying degrees. On November 20, join our global team of credit analysts covering bank and non-bank financial institutions, as we highlight key themes and issuers to watch. As always, there will be opportunities for Q&A.