Henrik Raber, Global Head of Credit Markets, Standard Chartered shares his insights on the capital markets with a focus on emerging markets. Henrik discusses how capital markets have generally performed, the potential long term implications of the high sovereign debt issuance as a result of the COVID-19 crisis, and the importance of investing in a deep and efficient capital market.
ICMA Quarterly Briefing, Q2 2024: Bond market transparency: ICMA response to the FCA
ICMA Quarterly Briefing, Q2 2024: Primary markets developments
ICMA Quarterly Briefing, Q2 2024: Work experience in international capital markets
ICMA Quarterly Briefing, Q2 2024: Liquidity and resilience in the core European sovereign bond markets
ICMA Quarterly Briefing, Q2 2024: Lessons from LIBOR transition in the bond market under English law
The AMIC Podcast: Discover Insights on Geopolitics, Markets, and Asset Classes
ICMA Fintech & Digitalisation podcast series: ION Markets
ICMA Fintech & Digitalisation podcast series: Murex
ICMA Fintech & Digitalisation podcast series: Kaizen
ICMA Fintech & Digitalisation podcast series: Covalent Capital
ICMA Fintech & Digitalisation podcast series: ConvEx
ICMA Fintech & Digitalisation podcast series: Origin
ICMA Fintech & Digitalisation podcast series: TransFICC
ICMA Fintech & Digitalisation podcast series: Pirum
ICMA Fintech & Digitalisation podcast series: agora
ICMA Quarterly Briefing, Q1 2024: Repo and collateral markets
ICMA Quarterly Briefing, Q1 2024: Bond market transparency in the EU and UK
ICMA Quarterly Briefing, Q1 2024: ICMA form of Singapore selling restrictions
ICMA Quarterly Briefing, Q1 2024: Hong Kong SFC’s market soundings consultation: ICMA’s response
ICMA Quarterly Briefing, Q1 2024: Sovereign bond market liquidity
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