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    From S&P Global
    Press Release: S&P Global Merges With IHS Markit

    On February 28, 2022, S&P Global completed its merger with IHS Markit, the next step in delivering data, technology and expertise that accelerates progress.

    Read: 2021 Annual Report

    As great as last year was for our company, in many ways 2022 is shaping up to be even better. In February, we closed a transformative merger with IHS Markit. We believe combining our two companies will create substantial long-term value for all our stakeholders.

    Read: S&P Global Foundation

    The S&P Global Foundation is about much more than philanthropy—we are about making a difference by finding and developing essential connections between the knowledge- and skill-driven work of S&P Global and the needs of society.

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    Read: Cyber Trends and Credit Risks

    Cyberthreats are no longer an emerging risk and as such, need to be an embedded part of an entity’s overall risk management profile, updated as threats evolve. In an ever-more-connected world, the risk of systemic attacks resulting in damaging financial and reputational consequences keeps increasing. How insurers respond to this risk may also have far-reaching consequences, particularly should they move to exclude systemic attacks from claims.

    Read: Women CEOs: Leadership for a Diverse Future

    This S&P Global research aims to contribute to a better understanding of women leaders and their leadership styles during a time of economic uncertainty and workplace transformation.

    Read: Pathways to Leadership: Empowering the Next Generation of Powerful Women in Banking

    During the past 20 years that American Banker has honored The Most Powerful Women in Banking™, we’ve witnessed positive changes in how the industry perceives and addresses diversity, equity and inclusion (DEI).

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Chris Fenske

Head of Capital Markets Research, Global Markets Group, S&P Global Market Intelligence

Chris Fenske is currently Head of Capital Markets Research for the Global Markets Group at S&P Global Market Intelligence, where he focuses on combining the firm's and other alternative datasets with financial market data to provide insight into the liquidity and performance of fixed income investments.

Chris's research has been cited in Barron's and he frequently presents at investment forums on the topic of assimilating alternative data into the securitized, municipal, and corporate bond investment processes.

Prior to joining S&P Global, he was a senior vice president at Halcyon Asset Management, where he was a senior trader and research analyst managing a portfolio focused on investments in non-agency RMBS, collateralized loan obligations, auto, synthetic indices, and other asset-backed securities for a $900 million distressed securitized products fund. He began his career at Credit Suisse as a fixed income research analyst on the #1 ranked mortgage-related ABS research team by Institutional Investor Magazine and later became a trader of distressed MBS and credit default swaps on ABS.

Chris holds a Bachelor of Science in Biochemistry from Binghamton University.

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