A resilient APAC: Recovery, risk, and rebalancing

A resilient APAC: Recovery, risk, and rebalancing

As market upheavals continue to create headwinds this year, what does the road ahead look like for APAC? Join us on May 3 in Singapore for this complimentary conference as we bring together market thought leaders to discuss a wide range of hot topics

Rajiv Biswas, our Chief APAC economist, will open the session by discussing the region’s macroeconomic outlook for the year ahead. He will touch on the threat of recession in the U.S. and Europe, the pace of China’s rebound, growth stars and crisis countries in APAC, and how supply chain shocks are transforming the investment landscape.

This will be followed by sessions on the outlook for the banking industry in Asia-Pacific as turmoil persists and how to measure the quality of financial inputs in your assessments of creditworthiness. In addition, given the growing importance of sustainability issues, a panel will discuss how sustainability standards and regulatory stress tests are driving action from companies and financiers.

Following the main presentations, join one of the three breakout sessions:

  • Financial Markets Data in Risk Management: Governance, Protection, and Effective Use for Decision-Making
  • Future-Proofing Your Third-Party Risk Management Strategy
  • Data Intelligence for Uncovering Private and Public Market Opportunities in a Time of Volatility

See the full agenda* here.

*Agenda is subject to change

Sponsor/exhibitor contact

S&P Global Market Intelligence
[javascript protected email address]

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