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Bonds vs. loans: Corporate finance and capital markets in a post-COVID world

Broadcast on Sept 27, 2021

  • Bonds vs. loans, USD vs. EUR vs. RUB: Where can corporates access competitively priced capital? What price and on what terms?
  • Fixed rate vs floating rate: How do the benefits and drawbacks of each stack up? What are the key risks for issuers to consider?
  • Structures and strategy: (How) Are Russian corporates hedging interest rate and FX risk?
  • How can Russian corporates look outwards to access different pockets of liquidity?

Moderator

Director of Corporate Finance and Investor Relations

Speakers

Director, Corporate Finance

Head of Debt Capital Markets

Head of Corporate Sales, Capital Markets

Director - FX & Rates Derivatives Sales

Managing Director, Global Head of Investment Banking

Head of Fixed Income Sales

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