articles Corporate /en/research-insights/articles/credit-market-pulse-december-2017 content
BY CONTINUING TO USE THIS SITE, YOU ARE AGREEING TO OUR USE OF COOKIES. REVIEW OUR
PRIVACY & COOKIE NOTICE
Log in to other products

Login to Market Intelligence Platform

 /


Looking for more?

Request a Demo

You're one step closer to unlocking our suite of comprehensive and robust tools.

Fill out the form so we can connect you to the right person.

  • First Name*
  • Last Name*
  • Business Email *
  • Phone *
  • Company Name *
  • City *

* Required

In This List

Credit Market Pulse: December 2017

S&P Dow Jones Indices

How Smart Beta Strategies Work in the Chinese Market

S&P Dow Jones Indices

Considering the Risk from Future Carbon Prices

S&P Global Ratings

COP24 Special Edition Shining A Light On Climate Finance

S&P Global

Best Practices in Corporate Climate Disclosure


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