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Webinar
Live Webinar
This webinar empowers risk managers and credit professionals with actionable strategies and tools to anticipate and mitigate credit risks arising from US tariffs, trade policy shifts and macroeconomic volatility – with a focus on APAC markets. Attendees will understand the direct impacts of evolving trade policies, supply chain disruptions and economic conditions on corporate financial health via an illustrative portfolio. Obtaining Early warning signals of credit deterioration from Risk GaugeTM can support proactive credit portfolio management and build resiliency in uncertain markets. It is essential for corporate risk teams, SME loan underwriters, and business leaders seeking data-driven responses to tariff-induced credit pressures.
During this webinar, you will learn how to:
S&P Global Market Intelligence
Head of Market Development, Credit Analytics, Asia-Pacific
Katriona is responsible for developing and delivering the Go-To-Market strategy of our credit risk product offerings across APAC. Prior to her APAC role, she works with credit risk professionals spanned across financial and non-financial corporations in Greater China and South Korea to design credit workflow, and to provide credit trend analysis and credit risk assessment solutions. She is a former S&P Global Ratings Primary Credit Analyst in Financial Services Ratings Group and focused on credit surveillance of both Life and Non-Life Insurers.
S&P Global Market Intelligence
Head of APAC and Latin America Analysis
His team provides comprehensive economic forecasts, country-risk scores, and geopolitical analyses on 48 economies across Asia-Pacific. Aries has published widely on a range of topics, from China's banking system and energy sector to Asia-Pacific's semiconductor industry and the global green bond market. He previously worked as the editorial lead, also at S&P Global Market Intelligence, overseeing the coverage of banking, insurance, financial services and real estate in the Asia-Pacific.
Before joining S&P Global in 2018, Aries had worked for the Wall Street Journal as the chief of its Hong Kong and Taipei newsrooms. He was also a finance editor at Caixin Global in Beijing. A Hong Kong native, Aries has a Master of Public Policy from the University of Oxford. He is also a lecturer for the Global Studies undergraduate program at the Chinese University of Hong Kong.
S&P Global Market Intelligence
Senior Quantitative Analyst, Quantitative Modeling, S&P Global Market Intelligence
Jacob Zhang is a Senior Quantitative Analyst in the Quantitative Risk Management team, based in Shanghai. Jacob focuses on model developments and quantitative research for credit risk analytics products. Previously, he worked as a credit risk professional at New Development Bank. Jacob is a CFA Charterholder and a Certified FRM.
Please contact us if you need more information or have trouble accessing the webinar.