Join us as we discuss credit trends and developments across our rated high-yield portfolio. We will provide insights on proprietary indicators that assess current and projected credit risks and defaults, as well as our view on high-yield companies’ liquidity health, covenants and refinancing risks.

Discussion Topics
  • How has credit quality changed since the start of the pandemic? Will it get better or worse in 2021? 
  • Is the road to recovery paved with opportunities or more and bigger threats?
  • What does intrinsic liquidity mean for defaults?
  • More bonds are now scoring weakly—is that a cause for concern?

Speakers
From the Corporate Finance and Project & Infrastructure Finance Group:
Ian Lewis, Associate Managing Director (Moderator)
Annalisa DiChiara, Senior Vice President
Jake Avayou, VP-Senior Covenant Officer
Stephanie Cheong, Analyst (Q&A)

Following the commencement of TRIM in 2016, there are has been a multi phased approach to the ECB’s TRIM exercise. As we are gearing up for a year of further TRIM exercises and transitioning to review of wholesale and low default portfolios, Moody’s would like to host this webinar to provide:

  1. Further insight to the challenges in the market thus far
  2. The common themes across Europe
  3. Remediation and best practice approaches

Following the commencement of TRIM in 2016, there are has been a multi phased approach to the ECB’s TRIM exercise. As we are gearing up for a year of further TRIM exercises and transitioning to review of wholesale and low default portfolios, Moody’s would like to host this webinar to provide:

  1. Further insight to the challenges in the market thus far
  2. The common themes across Europe
  3. Remediation and best practice approaches