A number of financial institutions have exposure to the oil and gas sector where potential defaults have risen considerably due to lackluster global demand and a glut of supply.
Through a discussion focused on the oil and gas sector, listeners will hear an expert's outlook for oil prices, how this downcycle compares to prior downturns, and which companies post the greatest risk to lenders and investors.
This webinar was recorded May 28 and was approximately one hour.
Meet the Experts
- Tom Watters, Managing Director, Sector Lead Oil & Gas Ratings, will provide an overview and outlook for the oil and gas sector.
- Nathan Stovall, principal analyst at S&P Global Market Intelligence, will highlight which US banks have the greatest exposure to the asset class. He will then interview Watters, focusing on issues that will help financial institutions better assess the risk of the oil and gas sector.