Webinar

Financials in Forty Five: H2 Outlook: BI Replay

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In the second half of 2024, financial institutions will need to navigate a still-busy election schedule, heightened geopolitical risk, elevated rates and ever-changing regulations. What may all this mean for bond performance? What jurisdictions are best positioned? What pitfalls should market participants be aware of? Do subordinated securities offer value? Is CRE exposure still a risk? Bonds issued by financial institutions account for almost 40% of the Bloomberg Global Aggregate Corporate Index so what happens with banks, insurers, asset managers, real estate companies and everything in-between matters for returns. On June 25, join the 10-strong Bloomberg Intelligence credit research team covering the sector for a not-to-be-missed webinar discussing their views on some of the world’s largest bond issuers.

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