This article was written by Jerome Barkate, Nakul Nair, Zane Van Dusen, and Scott Coulter. We are witnessing a remarkable period in the credit markets. Following years of accommodative monetary ...
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Using Sovereign Guarantees, Export Credit Agencies, and Political Risk Insurance to De-Risk Infrastructure Funding in Emerging Economies
By National Standard Finance LLC Infrastructure investment in emerging and frontier markets faces a persistent paradox.
New European-wide prescriptive guidelines emphasizing the need for integrated credit risk management supported by data to go live in June 2021 ESG factors centre piece of the requirements as banks ...
Dr. JeFreda R. Brown is a financial consultant, Certified Financial Education Instructor, and researcher who has assisted thousands of clients over a more than two-decade career. She is the CEO of ...
Fixed-income investors take two primary types of risk: interest-rate risk and credit risk, and in exchange, buyers get a return. These two forms of risk can be interrelated, but they also represent ...
J. William Carpenter is an economist who writes financial topics. He is an author of published works for higher education and business clients. Robert Kelly is managing director of XTS Energy LLC, and ...
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