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Webinar
Live Webinar
Private infrastructure investing has been significant growth in recent years and plays a vital role in funding various types of industrial projects. However, these investments are often structured as private loans that are rarely traded, non-rated and illiquid. This highly topical webinar will explore risk and valuation for infrastructure debt, where our industry experts will dissect key methodologies and frameworks for assessing credit risk and determining value in this complex asset class. Whether you're a seasoned professional or new to the space, this webinar will equip you with the tools needed to navigate the evolving landscape of infrastructure debt investing.
Key themes to be discussed:
S&P Global Market Intelligence
EMEA Head of Private Market Valuations
Phil is the EMEA business head for the Private Market Valuations team at S&P Global with 20 years experience working across financial markets.
Phil has led the EMEA team since 2016 where he manages a team of client service professionals providing valuation advisory services across illiquid debt and private equity. He has played a central role in developing the product offering within S&P and driving technology initiatives to bring reliability and efficiencies into valuation services.
Before joining S&P Global, Phil spent 10 years working in investment banking within leveraged finance and restructuring teams where he managed exposures of up to £1bn per transaction. Philip led negotiations with management teams and private equity firms to improve the credit metrics of the book through balance sheet restructures, covenant resets and deal amendments.
Philip is a CFA charter-holder and has a BA from Oxford University.
S&P Global Market Intelligence
Senior Director, Risk Solutions EMEA
Fotini is a Senior Director in Risk Solutions within S&P Global Market Intelligence, based in London. Fotini leads a team with regional focus on DACH,NI, Nordics and Italy. She focuses in delivering complex credit related solutions associated to all aspects of credit risk, across various asset classes with specific focus on Project Finance.
Prior to joining S&P, Fotini had a 20 years career in Investment Banking across different asset classes and wider EMEA regional coverage. Fotini worked on risk management and restructuring of large-scale infrastructure projects, as well as the management of syndicated transactions.
Fotini holds a master’s degree from London School of Economics, University of London and a bachelor’s in science degree from Royal Holloway, University of London.
Please contact us if you need more information or have trouble accessing the webinar.