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Credit Market Pulse: December 2017

S&P Global Ratings

2018 Annual Global Leveraged Loan CLO Default and Rating Transition Study

S&P Global Ratings

For Global Banks, The Fickleness of Capital Markets Revenue is on Full Display

S&P Global Platts

Oil traders have bigger worries than a new Hormuz tanker war

S&P Dow Jones Indices

Iron Ore is on a Hot Roll


Credit Market Pulse: December 2017

In this issue, get actionable ideas around sovereign and regional trends, political risk, industry shifts, changes in creditworthiness of some of the biggest movers and shakers in the market, and postmortems on recent defaults.

Highlights include:

  • Oil price gains drive global credit risk improvement, led by the energy sector
  • European risk increases on the back of political instability, and ongoing Brexit negotiations
  • South Korea risk spikes under continued concerns on relations with North Korea
  • Consumer discretionary sector exhibits elevated risk and dominates the riskiest firm list