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Assessing Russia/Ukraine Conflict Scenarios: What comes next?
Assessing Russia/Ukraine Conflict Scenarios: What comes next?
This event covers the following:
Financial Services
Maritime & Trade
Financial Risk
Regional Economics
Credit Risk
Financial Risk Assessment
Financial Trading
Investment Economics

As the Russia-Ukraine military conflict rages on, S&P Global is continuing to assess the related effects on economies worldwide, the ramifications for financial and commodity markets, and the impact on borrowing conditions and credit quality. Against a backdrop of raising interest rates, inflation pressures and the lingering impacts of Covid-19, the unprecedented situation we find ourselves has heightened challenges facing investors today.

Join S&P Global for a comprehensive analysis of varying Russia/Ukraine conflict scenarios during a period of economic uncertainty. Paul Gruenwald, Global Chief Economist, S&P Global Ratings will outline key macroeconomic observations and the possible paths the conflict could take. This will be followed by a panel discussion in which experts representing various fields will debate future implications on:

  • Economic outlook, policymaking and recession risks
  • Changes in global trade flows
  • Commodities and supply chain disruptions
  • Rating downgrades and credit risk

Event Duration:

1 hr

Event Timings:

3:00pm BST

10:00am EDT

In association with:

Regional focus
13 Jun 2022
3:00pm - 4:00pm
1 hour
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