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Join us for a webinar series on fixed income investments, where industry experts will delve into the essential aspects of this critical asset class. We will explore trends, performance, outlooks, and tools to provide a comprehensive understanding of the current fixed income landscape. Whether you're a seasoned investment professional or a newcomer to the field, this webinar series will offer valuable knowledge and practical strategies to enhance your workflow and decision-making in the fixed income arena.
The European fixed income market plays a crucial role in influencing debt issuance and its subsequent effects on market dynamics. Amid a complex landscape of economic recovery, inflationary pressures, and regulatory developments, both investors and issuers will need to stay agile, leveraging market insights and adapting strategies to the evolving environment.
Our upcoming webinar is tailored to explore these dynamics, utilizing our newly expanded Fixed Income Data offerings on S&P Capital IQ Pro. During this session, we will uncover the insights and tools needed to effectively navigate the components of the European fixed income market, including:
S&P Global Market Intelligence
Business Development Manager, Buy Side, EMEA
Chirag works within the EMEA Desktop Business Development team at S&P Global Market Intelligence. He is responsible for defining and executing on go-to-market initiatives, specifically for the Investment Management segment. Prior to joining S&P Global in London, Chirag was a global equities product specialist at one of Canada’s largest institutional asset managers based in Toronto. Chirag is a CFA charter holder and has also recently gained the CFA UK Certificate in ESG Investing.
S&P Global Ratings
S&P Global Ratings
Associate Director of Credit Research and Insights
Ekaterina Tolstova is a Frankfurt-based lead analyst in the Credit Research and Insights team at S&P Global Ratings, which is responsible for delivering forward-looking, actionable insights on fixed income market and rating performance trends. Ekaterina is a lead author on several high-profile publications such as Global Credit Markets Update, Monthly Defaults, Risky Credits, Global Financial Services and IPF Default and Transition Studies. She is responsible for covering financing conditions inside of the S&P European Credit conditions committee centered on identifying credit risks and their potential rating impact in various asset classes, as well as borrowing and lending trends for businesses and consumers.
Prior to covering global credit markets Ekaterina was a senior analyst within the EMEA Financial Services Group at S&P. She was responsible for ratings analysis and coverage of insurance companies, banks and other financial service companies.
Ekaterina has over 15 years of experience. During her tenure Ekaterina has regularly presented on webinars and represented S&P Global as a speaker at a number of public events and sector conferences. She has been quoted in several publications by the national and international press.
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