Financial Institutions Face Debt Hurdle, As Lower Rated Corporates Face Most Risk
Feb 04, 2010 | 00:07:23 min
The ability of companies to refinance maturing 2009 and 2010 debt, especially speculative-grade issuers, was one of the key risks Standard & Poor's identified in 2008. What a difference a year makes. In this video, Diane Vazza, Standard & Poor’s Head of Global Fixed Income Research, outlines the near-term concerns for financial institutions and identifies risks facing lower-rated, speculative-grade nonfinancial companies.
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