Navigating Credit Risk in 2022: Inflation, Volatility & More
Inflation, volatility, interest rate hikes, and supply chain disruptions are all hot topics that will introduce increased credit risk in 2022. Bloomberg provides a suite of advanced solutions that help clients manage credit risk proactively and holistically using the latest market data even when traditional market data sources are unavailable (ex: CDS market is common credit risk indicator with very limited coverage).
Discussion areas include:
Discussion areas include:
- Current Market trends
- Market Gaps
- Bloomberg solutions
- How to approach credit in 2022
Speakers
HUGO RODRIGUEZ BAUTISTA
Global Product Manager, Risk and Investment Analytics
BLOOMBERG/ 120 PARK
Hugo Rodriguez Bautista is a Global Product Risk Manager for the Risk and Investments analytics group. In his role he’s responsible for creating solutions to help financial institutions take more educated decisions when investing and to better manage the risks associated with it. Hugo assists in ensuring proper capture of daily market movements and converting into data driven solutions. Prior joining Bloomberg, Hugo directed large scale engagements by implementing quantitative risk management frameworks, providing risk strategy in capital markets, and implementing trading systems, securities and derivatives in US, Europe and Latam.