In the year ahead, pressure will be on companies and governments to step up efforts to build a more sustainable and equitable future in the wake of last year’s momentous COP-26 climate summit.
Beijing’s net-zero emissions push and global supply-chain shocks may be a natural springboard for China’s energy policy and technology development, which may unlock a $463 billion solar market by 2025.
A wall of worry is rising with Fed rate hikes, tech misses, geopolitics and omicron fears, and if we’re comparing cyclical and defensive bellwethers Sweden and Switzerland, we’ll take the former.
Automation. Climate Risk. Real estate volatility. Watch Credit Risk Manager David Croen break down recent market events that signaled red flags for risk managers.
Bloomberg Credit Risk Product Manager David Croen walks us through how companies, investors and institutions are navigating through what has been some of the most difficult times for credit.
The odds of another crypto winter — marked by multiyear price cycles spanning 80% drops from peak to trough — should be lower, we believe, since the market matured from the last extended downturn ended in 2019.
Following strong outperformance since 2018 and in most of 2021, Future of Finance declined 8.7% in 4Q, underperforming the MSCI ACWI Index of global markets amid a broader sell-off in innovation and emerging technologies.
As January comes to a close, the overriding message from the market is that SOFR swap trading is here to stay, supported by a strong first month of trading in 2022.