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Credit Spotlight on Global Oil & Gas
Credit risk was volatile for Global Oil & Gas producers in 2024 and global supply is expected to exceed demand in 2025, subject to strong geopolitical influences. This analysis from Credit Benchmark reviews global credit trends across a range of Oil & Gas sectors with a view to the year ahead.
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Bank Credit Analysts Turning Positive On Italy Despite Rising Yields And “Italexit” Risks
The European Central Bank intends to cut the pace of quantitative easing from €80bn to €60bn from this month. This has hit some of Europe’s
Turkish Vote Potential Lose-Lose For Credit
It has been hard not to make money in emerging markets during the first quarter of 2017. The JP Morgan Emerging Market Currency Index enjoyed
Banks Sanguine Over “Frexit” Risk
With the election looming, French bonds have been under increasing scrutiny. The spread of French 10-year government bonds over the equivalent German bund reached a
Credit Benchmark Data On France Cited In City AM Article
Independent French candidate Emmanuel Macron has topped another Presidential election poll with his far-right rival Marine Le Pen set to visit Moscow on Friday. Macron
No Light Touch Regulation For Insurers Post-Brexit, But Flexible Approach To Illiquid Credit
UK insurers hoping Brexit might signal a bonfire of regulations, particularly the onerous and complex requirements of the Solvency II directive, got a glimpse of
UK Sovereign Risk Rising Despite Strong Gilt Performance
In 2009 the UK’s Debt Management Office (DMO) oversaw record gilt issuance of £227 billion ($275 billion). At the time, Pimco’s Bill Gross described UK