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.
LIBOR transition: the end of 2021 approaches
Monthly Market update: ICMA Asset Management & Investors Council (28 October 2021)
Climate transition finance – global and regional perspectives on the market development
Primary bond markets regulation post-Brexit - what’s the UK planning?
The New Development Bank - building a sustainable future
Monthly Market update: ICMA Asset Management & Investors Council (27 September 2021)
Environmental Disclosure & Impact Reporting
Addressing workplace inequality
Monthly Market update: ICMA Asset Management & Investors Council (27 August 2021)
Sustainable sukuk
Monthly Market update: ICMA Asset Management & Investors Council (27 July 2021)
Capital markets contributing to a healthier and more productive ocean
Secondary corporate bond markets in the US and Europe
Taxonomies in sustainable finance – why are they important?
Monthly Market update: ICMA Asset Management & Investors Council (28 June 2021)
Sustainable finance in Latin America with BBVA
The Human Side of Finance | Episode 5 | Rebalancing Excess Masculinity in Finance
The Human Side of Finance | Episode 4 | Humanising the Office
The Human Side of Finance | Episode 3 | Generation wars in banking – Fact or Fiction?
An insight into the Kuwaiti debt capital market
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