Latest Trends in Sustainability Debt Market (APAC)
The Bloomberg Sustainable Debt data feed provides Green, Social, Sustainable, and Sustainability-Linked indicators updated daily. The data feed covers multiple asset classes including Corps, Loans, Preferreds, Munis and Structured Products.
Speakers
Sunny Qu
Enterprise Data ESG Product Manager
Bloomberg
Sunny Qu is responsible for Sustainable Finance Enterprise Data product servicing customers with systematic data needs across buy side & sell side markets. This includes oversight of the flagship Sustainable Fixed Income product plus reported ESG data, proprietary ESG scores and third-party sustainability datasets. Sunny has deep data expertise across 15-years in various quantitative and research data roles both at Bloomberg and Thomson Reuters. Sunny holds dual MSc in Environmental and Development Economics from University of Oslo and World Economy from Fudan University. She also holds CFA and FRM certificates.
Remus Negoita
ESG Analyst
Bloomberg Intelligence
Remus Negoita is an Environmental, Social and Governance (ESG) analyst for Bloomberg Intelligence. He focuses on analyzing and identifying trends in the sustainable debt markets and linkages between ESG credentials and credit performance.Prior to joining Bloomberg he worked on the buyside at Nippon Life, where he helped set up and manage the Sustainable Development Goals corporate bond fund while contributing to the group's ESG research efforts. Previously, he was a sellside analyst in HSBC's Global Research departments in London and Hong Kong, where he covered a range of industries.Remus is a CFA charterholder, and earned a master's degree from Pantheon-Assas University in Paris and a BA in European Economics from Nottingham Trent University.
Christopher Ratti
Senior ESG Credit Analyst
BLOOMBERG L.P.
Christopher Ratti is an Environmental, Social and Governance (ESG) senior analyst for Bloomberg Intelligence, a research platform that provides context on industries, companies, government litigation and the economy. His research is focused on analyzing and identifying trends in the sustainable debt markets and linkages between ESG performance to credit markets. Chris has over two decades of experience in fixed income markets and prior to joining Bloomberg, he was a Senior Vice President on the Global Fixed Income team at Lazard Asset Management. He was focused on investment grade corporate research and trading and led the team efforts on ESG analysis for corporate bond holdings and sustainable debt. Chris holds a MBA in Finance from Pace University’s Lubin School of Business and a BS in Finance and Technology from Rensselaer Polytechnic Institute.