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Webinar Replays

Evaluación Del Riesgo De Crédito En Infraestructura Con Criterios ESG

12 de Noviembre de 2019
30 Minutes

Los mercados de crédito son volátiles y las regulaciones están en constante evolución, desafiando a los profesionales de hoy en día para evaluar efectivamente la solvencia y limitar las pérdidas.

Los modelos de crédito de S&P Global Market Intelligence proporcionan un marco para ayudar a navegar el clima económico y político actual, y evaluar la probabilidad de un incumplimiento (PD) del financiamiento de proyectos tipo “Project Financing” (PF).

Durante este webinar, discutiremos:

  • Factores sistemáticos que afectan la evaluación crediticia de PF, incluidas las volatilidades de diferentes clases de activos y el riesgo país.
  • Evaluaciones independientes del riesgo de construcción y el riesgo de operación.
  • Transferencia de riesgos, dependencia de contrapartes críticas y vínculo con el riesgo soberano.
  • Incorporación del análisis de factores ambientales, sociales y gobernanza (ESG) en el proceso de evaluación del riesgo de crédito.
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