
Fixed Interests
167 episodes — Page 2 of 4

Ep 116Geopolitical Tensions and Economic Risks in the Middle East and North Africa
Toby Iles, Head of MEA Sovereigns, joins Head of EMEA Sovereigns Jan Friederich to break down the economic and rating implications of geopolitical risks in the Middle East and North Africa.

Ep 115A Challenging Environment for U.S. Commercial Real Estate
Justin Patrie, Senior Director and Head of Fitch Wire, and Melissa Che, Senior Director, North America CMBS, explore the challenges facing U.S. commercial real estate in 2024, including refinancing issues, weakened fundamentals and more.

Ep 1142024 Global Credit Outlook - Key Themes and What to Expect
Richard Hunter, Chief Credit Officer, and Justin Patrie, Senior Director, discuss the key themes of Fitch’s recent 2024 Global Outlook report, including sustained elevated interest rates, asset quality deterioration, a US growth slowdown, and more.

Ep 113Opportunities for Supply Chain Diversification In Emerging Markets
Fitch sovereign analysts Shelly Shetty, Managing Director, Todd Martinez, Senior Director, and Jeremy Zook, Director, discuss the impact of supply chain diversification trends such as nearshoring/friendshoring on emerging markets.

Ep 112Global Economic Outlook - High Rates and Slowing Growth
Brian Coulton, Chief Economist, and Ed Parker, Sovereigns Managing Director, discuss Fitch's Global Economic Outlook for 2024, including stagnation in the Eurozone, property market concerns in China, and slowing growth in the US

Ep 111Fiscal Developments in Western Europe
Federico Barriga Salazar, Head of Western European Sovereigns, and Greg Kiss, Sovereigns Director, discuss how underlying fiscal trends in Western Europe have become more challenging in 2023, and divergent debt dynamics among the regions' economies.

Ep 110Assessing Common Framework Debt Restructuring
Head of EMEA Sovereigns Jan Friederich is joined by MEA Associate Director Thomas Garreau to discuss the functioning of sovereign restructurings under the G20 Common Framework and cases of its application.

Ep 109Outlook on APAC Frontier Markets
APAC Frontier Markets continue to face external financing challenges - join Thomas Rookmaaker, Head of APAC Sovereigns, and Sovereign Directors Sagarika Chandra and Krisjanis Krustins, for a discussion of what to expect in these markets in 2024.

Ep 108US Sovereign Rating and Outlook Going Forward
Shelly Shetty, Managing Director, Sovereigns, and Richard Francis, Senior Director, Sovereigns, discuss the recently averted US government shutdown, the August 1st ratings downgrade, and the outlook for US public finances & the rating going forward.

Ep 107China's slowdown and sovereign risks
As Fitch cuts its forecasts for China’s economic growth, Thomas Rookmaaker, Jeremy Zook and Brian Coulton discuss the implications of the deteriorating macro-outlook for China’s sovereign creditworthiness.

Ep 106Nigeria - Policy Settings Under the New Government
Toby Iles, Head of Middle East and Africa Sovereigns, and Doug Winslow, Senior Director, Sovereigns, discuss the direction of reform and related credit developments since the new Nigerian administration took office.

Ep 105Resilience, Nearshoring and What to Expect from Mexico’s Economy

Ep 104Japan’s monetary policy: shifting gears or doubling down?
Will the Bank of Japan follow the world in tightening? How far could rates go? What could that mean for public finances? Thomas Rookmaaker, Head of APAC Sovereigns, and Krisjanis Krustins, Primary Analyst on Japan, explore Fitch’s latest thinking.

Ep 103How Sustainable are Egypt's External Finances
In the latest edition of Fixed Interests, Ed Parker, Global Head of Sovereigns Research, and Laure de Nervo, Primary Egypt Analyst, look into the current pressures on Egypt’s economy following Fitch’s downgrade of its sovereign credit rating in May.
Ep 102Global Economic Outlook – Central Bank Inflation Fight Continues
In the latest episode of Fixed Interests, Brian Coulton, Chief Economist, and Ed Parker, Global Head of Sovereigns Research, explore Fitch's new Global Economic Outlook report, covering China's recovery, central bank inflation concerns, and more.
Ep 101Turkish Elections and the Economic Impact
Paul Gamble, Head of Emerging European Sovereigns, and Erich Arispe, Sovereigns Senior Director, discuss the recent elections in Turkey, and how policy decisions by the Erdogan administration may impact the domestic economy

Ep 100Central America’s Positive Rating Momentum

Ep 99Stress and consequences for the US Banking Sector
In the latest episode of Fixed Interests, James Longsdon, Global Head of Banks, and Christopher Wolfe, Head of Bank Ratings, North America, discuss the recent volatility in the US banking sector, including what still to watch in 2023.

Ep 98Kazakhstan - Geopolitics and Oil Exports
Crude oil exports to Western Europe are vital to Kazakhstan's economy - learn more about the related geopolitical challenges from Michele Napolitano, Head of Western European Sovereigns, and Arvind Ramakrishnan, Director, Emerging Europe Sovereigns

Ep 97India’s Fiscal Outlook after the 2023 Budget
In this edition of Fixed Interests, Sovereigns Senior Director Thomas Rookmaaker, and Director Jeremy Zook, discuss India's fiscal outlook after the recent budget, including plans for sustaining growth while targeting modest deficit reductions.

Ep 96Rate Hikes and Canadian Consumers
In the latest episode of Fixed Interests, Mike Girard, Director, ABS, and Mark Narron, Senior Director, Financial Institutions, explore how recent bank rate hikes are impacting Canadian consumers - from unemployment rates, to household debt & more.

Ep 95What to Expect From Brazil’s New Government
Shelly Shetty, Managing Director, Sovereigns, and Todd Martinez, Senior Director, Sovereigns, discuss the policy and rating outlook for Brazil under the new government of President Lula, following his October election win over Jair Bolsonaro.

Ep 94Global Economic Outlook - Inflation Battle Intensifies
Brian Coulton, Chief Economist and Ed Parker, Sovereigns Managing Director discuss the recessionary outlook in Europe and the US as inflation pressures broaden and central banks are forced to take tougher monetary policy actions.

Ep 93U.S. Semiconductor Export Controls - What to Expect
The US government recently announced new restrictions on China’s access to US semiconductor technology - join Fitch analysts Carla Taylor, Jason Pompeii and Chaim Kurland for a discussion on what to expect from the new regulations going into 2023.

Ep 92US Economic Outlook and Implications of the Midterm Elections
Shelly Shetty, Managing Director, Sovereigns, and Richard Francis, Senior Director, Sovereigns, discuss the potential economic implications of mid-term elections in the U.S.

Ep 91GCC Fiscal Update
In the latest episode of Fixed Interests, Thomas Rookmaaker, Head of APAC Sovereign Ratings, and Toby Iles, Head of MEA Sovereign Ratings, discuss the impact of high crude oil revenues on the fiscal policies of GCC sovereigns.

Ep 90Europe's Energy Crisis
Paul Gamble and Federico Barriga Salazar from the Emerging Europe sovereign team and Michele Napolitano, head of Western Europe sovereign ratings discuss the rating implications of the shutdown in Russian gas supplies to the EU.

Ep 89Argentina - Still on the Brink After IMF Deal
Despite Argentina's deal with the IMF earlier this year, the country's macroeconomic vulnerabilities are mounting, and it remains unclear if political heavyweight and new economy minister Sergio Massa can do what it takes to get things on track.

Ep 88Colombia - Prospects and Challenges under President-elect Petro
Shelly Shetty, Sovereigns Managing Director, and Richard Francis, Primary Analyst for Colombia, discuss the outlook for Colombia’s economy, public finances & governability under the incoming administration of Gustavo Petro who assumes presidency in August.

Ep 87US Rating Outlook
Shelly Shetty, Managing Director, Sovereigns, and Charles Seville, Co-Head of Americas Sovereigns, discuss the US’s sovereign rating and the rationale behind Fitch’s recent decision to revise the Outlook to Stable from Negative.

Ep 86Tight Monetary Policy and Global Growth
Brian Coulton, Chief Economist at Fitch, joins Ed Parker, Sovereigns Managing Director, to discuss unrelenting global inflation pressures, the Fed’s impending return to a restrictive monetary policy stance and the implications for the global economy.

Ep 85Philippines - Post Election Outlook
Thomas Rookmaaker, Head of APAC Sovereign Ratings, and Sagarika Chandra, Lead Analyst for the Philippines, discuss the President-Elect’s economic agenda and the implications for the sovereign’s BBB rating and Negative Outlook.

Ep 84Canada Public Financial Outlook
Doug Offerman, Senior Director for Canadian provincial ratings, and Kelli Bissett-Tom, Director for the Canada rating, discuss the credit impact of the 2022 budget season for Canada, Alberta, British Columbia, Ontario, and Quebec.

Ep 83Sustainability Landscape & Islamic Finance in GCC
Saif Shawqi, Associate Director, Islamic Finance, and Bashar Al Natoor, Global Head of Islamic Finance, discuss the development of ESG-related products in the GCC, the growth of green & sustainable sukuk, and more.

Ep 82Chile - Post-Inauguration Expectations
Shelly Shetty, Managing Director, Sovereigns, and Richard Francis, Senior Director, Sovereigns, explore the economic and fiscal outlook for Chile in 2022 and the prospects under the new administration of President Gabriel Boric.

Ep 81Turkey’s post-downgrade economic outlook
Senior Sovereign Ratings Directors Jan Friederich and Erich Morales discuss the economic outlook and operating environment in Turkey following Fitch's February downgrade of the country's sovereign credit rating to 'B+' from 'BB-'.

Ep 80Macroeconomic Outlooks on Central and Eastern Europe
Paul Gamble, Senior Director of Sovereign Ratings, and Malgorzata Kleniewska Wodtke, Senior Director of Financial Institutions, discuss the macroeconomic outlook for Central and Eastern Europe, including growth expectations, inflation and more.

Ep 79India’s Fiscal Outlook after the Budget
Thomas Rookmaaker, Head of Asia-Pacific Sovereign Ratings, and Jeremy Zook, Sovereigns Director, Lead Analyst for India, discuss the implications of India’s recent budget for the medium-term fiscal outlook and sovereign rating.

Ep 78Ghana’s Downgrade with Negative Outlook and Zambia’s G20 Common Framework Prospects
Toby Iles, Head of Middle East and Africa Sovereign Ratings, and Jermaine Leonard, Sovereigns Director, Lead Analyst for Ghana and Zambia, discuss the recent downgrade of Ghana’s sovereign rating and consider Zambia’s G20 Common Framework prospects.

Ep 77What’s Next for Irelands’ Sovereign Rating
Michele Napolitano, Head of Western Europe Sovereigns and Malgorzata Glowacka, Associate Director, discuss the findings of Fitch’s recent special report “Ireland’s Exceptional Economic Performance Places Debt/GDP on a Firm Downward Path”

Ep 76Inflation Fears Take Centre Stage
Shelly Shetty, Head of Americas and Asia Pacific Sovereigns and Brian Coulton, Chief Economist, discuss the policy implications of increasing inflation as the Fed responds to growing evidence that US inflation is broadening to services and wages.

Ep 75Andorran Banks - Navigating Challenges Ahead
Cristina Torrella, Senior Director, Financial Institutions, and Fernando Sanchez, Lead Analyst for Andorran banks, discuss latest developments in the Andorran operating environment, as well as how banks are expected to navigate challenges ahead.

Ep 74Sovereign Trends in the Andean Region
Shelly Shetty, Managing Director, Sovereigns, and Richard Francis, Senior Director, Sovereigns, discuss how elevated commodity prices and the reopening of domestic economies are helping Chile, Colombia and Peru recover from the shock of Covid-19.

Ep 73Assessing Cyber Risk at Banks and Insurance Companies
Shelly Shetty, Managing Director, Sovereigns, and Marjan van der Weijden, Global Head of Financial Institutions, explore how cyber risk can be assessed at banks and insurance companies, as well as Fitch's recent collaboration with SecurityScorecard.

Ep 72Central America - Macroeconomic Outlook and Recovery
Shelly Shetty, Managing Director, Americas Sovereigns, and Carlos Morales, Director, Latin America Sovereigns, discuss the macroeconomic and fiscal outlook for Central America, including the region's recovery from pandemic-related disruptions.

Ep 71GCC Update - Budgets, Oil Prices and Reform Prospects
Jan Friederich, Head of MEA Sovereigns, and Toby Iles, Lead GCC Sovereign Analyst, discuss GCC fiscal prospects amid higher oil prices, Oman’s medium term fiscal plan and the tension between fiscal consolidation and diversification in the region.

Ep 70Canada Banks - Calm in Stormy Waters
Mark Narron, Senior Director, Financial Institutions, and Kelli Bissett-Tom, Director, Americas Sovereign Ratings, talk rating implications for Canadian banks & the country's macroeconomic environment following Fitch’s 2020 sovereign rating downgrade.

Ep 69Argentina and Ecuador - Tackling Policy Challenges Ahead
Shelly Shetty, Managing Director, Americas Sovereigns, and Todd Martinez, Senior Director, Americas Sovereigns, explore the macroeconomic and political challenges ahead in Argentina and Ecuador following their respective debt restructurings in 2020.
Ep 68Rule of Law and Sovereign Ratings in Central and Eastern Europe
Paul Gamble, Head of Emerging Europe Sovereigns, and Arvind Ramakrishnan, Director, discuss the rising prominence of rule of law issues in CEE and how they impact sovereign ratings.

Ep 67Mexico's Prospects After the Mid-Term Congressional Elections
Shelly Shetty, Managing Director, Americas Sovereigns, and Charles Seville, Co-Head of Americas Sovereign Ratings, discuss the potential economic implications of Mexico’s recent mid-term congressional elections.