Ukraine’s corporate and sovereign bond market came under severe pressure in January as diplomatic efforts to solve the security crisis with Russia have failed. In this webinar which was broadcast on Friday, Feb. 4, 2022, Magnus Scherman, Editor for CEEMEA discussed which implications the geopolitical crisis in Ukraine is having on the country’s credit market and how investors could mitigate those new risks. Magnus hosted guests Timothy Ash, Emerging Markets Senior Sovereign Strategist at BlueBay Asset Management, Andrew Wilkinson, Senior Partner and Co-Head of Restructuring at Weil Gotshal and Kirsten Erichsen, Counsel at Weil Gotshal.
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