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Webinar Replays

5 Issues That Keep Oil and Gas Credit Risk Managers Up at Night

Date:
September 18
Duration:
1 Hour
Location:
On-Demand

Oil and Gas Risk Roundtable featuring Speakers from Shell and Motiva

OPEC has announced cuts to crude production, oil prices remain low, and global markets are reacting to various geopolitical uncertainties. What can be done to monitor and mitigate risk in the oil and gas sector?

Join our virtual roundtable to hear three U.S. oil and gas credit professionals from Shell, Motiva, and S&P Global Market Intelligence discuss strategies for monitoring industry changes and their impacts on creditworthiness among portfolios and counterparties.

This presentation will discuss:

  • Cuts to OPEC supply and the impact of geopolitical risk
  • The impact of low oil prices on operations and credit
  • Pressures from tight capital markets and capital discipline
  • The ripple effects of defaults and distressed companies
  • Surveillance of industry players anticipating counterparty credit loss

Then hear about credit scoring and modeling, monitoring techniques, and warning signs. Roundtable participants will discuss how they track probabilities of default and implied ratings, analyze the credit of private companies, and conduct relative-risk assessments.

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S&P Global Contributor
S&P Global Contributor
S&P Global Contributor

Alex, please download the S&P Networking App

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