Riding Volatility and Idiosyncratic Risks in Asia Credit: BI Replay
Corporate credit risks across Southeast Asia, India, and Australia are in focus after a volatile 1Q heightened risk of a global trade war and slower growth.
Join Bloomberg Intelligence credit analysts Mary Ellen Olson (Oil & Gas, Metals and Mining), Sharon Chen (Utilities and Infrastructure) and Rena Kwok (Financials), as they identify potential credit landmines in 2025. Discussions point will include rating and regulatory risks, financing needs and capital access, Fx and rates concerns, and geopolitical risks.