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Webinar Replays

Assessing the Impact of Climate-Related Transition Scenarios on Oil & Gas Firms' Creditworthiness

Date:
March 19, 2020
Duration:
1 Hour
Location:
On-Demand

The impact on the environment from anthropogenic greenhouse gas emissions (GHG) is now top of the agenda for many policy makers, risk, and investment professionals. This has led to governments leveraging policy tools, such as carbon taxes, to reduce this impact, which has introduced a financial risk component.
 
In the second of our Climate Linked Credit Analytics webinar series, we’ll be looking at the impact of climate-related transition scenarios on oil & gas firms’ creditworthiness.
 
In this webinar, we will:
  •  Address the challenges faced by risk managers and investors in assessing the impact and opportunities of climate-related risks on public firms’ creditworthiness
  •  Introduce S&P Global Market Intelligence’s newly developed Climate Linked Credit Analytics tool
  •  Showcase how to run energy-transition analysis on the tool over a short time horizon
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Speakers

S&P Global Contributor
S&P Global Contributor
Luka Vidovic Luka is Associate Director of Quantitative Modelling in the Analytic Development Group (ADG). Full Bio
S&P Global Contributor
Paul Bishop is the Product Lead for Credit Analytics in S&P Global Market Intelligence’s Asia Pacific Risk Services team, based in Singapore. Full Bio

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