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Because ongoing developments within the global banking sector have the potential to prompt various market and policy reactions with increasing credit implications, S&P Global Ratings is closely assessing and monitoring contagion risk in the broader financial system and markets.
Following the collapse of SVB Financial and Signature Bank over a 48-hour period, the US banking system remains under heavy pressure as contagion risk and systemic stress persist. Follow this page to stay on top of essential insights into this evolving situation and to understand the ripple effects on global banks and markets.
Economists had hopes that the Federal Reserve could achieve a soft landing as it worked to tame inflation, but that prospect could be harder in light of the liquidity crunch facing the U.S. banking industry.
The editorial team at S&P Global Commodity Insights has created the 5th edition of the interactive Periodic Table of Oil with new crude grades, carbon intensity values, a design refresh and enhanced technology to help customers plan and make more informed decisions in rapidly changing volatile markets.
Explore the interactive table >
Diversity in leadership has received increasing attention in recent years from stakeholders in the sustainability world. Investors have pushed for diversity on company boards and management teams, and in some parts of the world, that push has extended to laws and regulations. But recent research from S&P Global finds that the number of women in top roles remains low.
The private debt market has grown tenfold in the past decade with assets under management of funds primarily involved in direct lending surging to $412 billion at end-2020—spurred in part by investors’ search for higher yield.
Without a quick end to the conflict on the horizon, the effects of the Russian invasion of Ukraine are being seen in equities, energy, global trade and commodities markets.
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