European corporates face financing challenges in the wake of credit constraints in domestic banks, contributing to downward adjustments to growth and profit forecasts. This conference explores how European companies might go about refinancing in the short to medium term through the credit drought and how European banks can rise to the European corporate refinancing challenge. Sessions cover corporate refinancing and restructuring, capital raising activities, acquisition finance, corporate and financial bond issues and securitisations.
The second day of the conference focuses on debt restructuring for European corporates and will analyze how to rescue and repair balance sheets from the potential risks of distressed assets and loans, and maximize company valuation by identifying and liquidizing stranded assets as well as adopting capital raising strategies to bridge funding gaps. The conference will survey key areas of corporate restructuring for finance professionals and will be led by restructuring experts.
Designed for European corporate and debt market professionals, the conference will explore:
Fri, 19/12/2014 - 10:24
With service providers reporting growth in hybrid funds, funds for single investors and bespoke managed accounts, this report examines the regulations and new services being developed in Cayman to tackle the fast-changing offshore funds market... »
Fri, 19/12/2014 - 09:11
Voting for the 6th edition of the Hedgeweek Global Awards is now open. The Awards will be presented at a lunch ceremony to be held in London. ... »
Tue, 09/12/2014 - 09:58
Read how managed accounts platforms are now catering to a wide spectrum of investor needs, from straightforward commingled funds to sophisticated infrastructure solutions for the largest institutional investors. And the rise of liquid alternatives means that onshore funds - UCITS, AIFs and '40 Act funds - are becoming just as popular as offshore funds... »
Thu, 11/12/2014 - 11:31
Global assets under management* of the private real estate industry have reached USD742bn, an all-time high for the industry, and up from USD697bn as of the end of 2013. Preqin’s Andrew Moylan takes a look at the latest stats on the industry. ... »
Fri, 28/11/2014 - 12:01
In this report S&P Capital IQ examines how credit events can impact on the price of equities. The results are compelling. The report looks at the relationship between credit indicators and equity back-tested returns. ... »
Sat, 20 Dec 2014 00:00:00 GMTEntry Level Financial Software Developer
Sat, 20 Dec 2014 00:00:00 GMTC#.NET Developer – Quantitative Risk, Fixed Income
Sat, 20 Dec 2014 00:00:00 GMT