Webinar

Strategies for Managing Your Credit Risk Exposure

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In the presently unstable and volatile landscape, a comprehensive understanding of market conditions and trends is vital to managing credit risk. Tune in to hear our credit strategist Noel Herbert discuss the complexity of the market, particularly concerning high-yield debt. He discusses anticipation of potential risk-off movements later this year, as well as current market dynamics such as shorter maturities that provide some support.

Additionally, we delve into default and credit risk management with emphasis on the cruciality of utilizing data sources and proprietary models such as DRSK to make informed and timely decisions.

Speakers

Martin Devito

Global Product Manager Risk & Investment Analytics Data

Bloomberg

Noel Hebert

Global Director, FICC Strategy Research & U.S. Corporate Credit Strategist

Bloomberg Intelligence

Noel Hebert is global director of fixed income, currency and commodity strategy for Bloomberg Intelligence. He specializes in U.S. investment grade and high yield corporate credit strategy. Before joining Bloomberg, Noel was chief investment officer for Concannon Wealth Management, an adviser for high net worth clients. Before that, he held a variety of roles, including senior analyst for credit-related hedge funds at HSBC and Palisade Capital. He began his credit career at Moody's Investors Service, where he covered the technology and media sectors as a senior associate. Noel earned his bachelor’s of arts in mathematics from St. Anselm College and is a CFA charterholder.

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