Martin Egan, Vice Chairman of Global Markets at BNP Paribas sat down with Bonds & Loans at the Bonds, Loans & Sukuk 2018 conference in Dubai to talk about the GCC debt capital markets pipeline, the delicate balance between oil price and regional volatility for investors, and potential replacements for LIBOR.
In an exclusive interview with Bonds & Loans, Andy Cairns, Group Head of Corporate Finance, First Abu Dhabi Bank (FAB) talks about the normalisation of fundraising in the MENA region in 2017 after a record year of credit market activity the previous year.
Bonds & Loans interviewed Jean-Marc Mercier, Global Head of Debt Capital Markets at HSBC to discuss how effective Russia's banking sector consolidation has been and how well the international banks have adapted to the new conditions?
Bonds & Loans interviewed Konstantin Vyshkovsky, Director of the Public Debt and State Financial Assets Department, Finance Ministry, Russia, to discuss the more prominent developments in the country’s debt markets
Bonds & Loans interviewed Oleg Dzhus, Member of the Board and Head of Treasury at Banca Intesa, Russia, to discuss the current outlook for Central Bank rates and what the expectations on the Central Bank’s monetary policy are for the coming year.
Greg speaks about how Brazilian debt compares to that of other emerging markets from an investor perspective.
How have outside factors affected the debt markets in the GCC?
Henrik Raber, Managing Director, Global Head Capital Markets, Standard Chartered discusses how low oil prices have affected the performance of Middle Eastern capital markets compared to other emerging markets.
What kinds of policies can Russia adopt to improve the economy?
15 Jun 2018