2021
May 20
Video
惠誉聚焦中国 - 全国碳排放交易市场
惠誉预计全国碳排放交易市场的影响力会随着覆盖范围扩大,监管规则收紧及配额供应缩减而逐步扩大。贾菁薇,可持续金融部ESG研究分析师讨论刚刚进入运行的全国碳排放交易市场对企业与中国低碳转型的影响。
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2025
Jun 18
CEE Electoral Cycle: Sovereign Rating Implications
Paul Gamble, Senior Director of Sovereign Ratings, and Erich Arispe, Head of Emerging Europe Sovereign Ratings, discuss the credit implications and common themes of the 2025/2026 electoral cycle in Central and Eastern Europe.
中国货币政策:今年有望进一步降息
中国人民银行继 5 月 9 日将 7 天期逆回购操作利率从 1.5% 下调至 1.4% 之后,今年可能会进一步降息。
Jun 17
Fitch Revises Certain Healthcare & Pharma Sector Outlooks to Deteriorating
Fitch has revised the 2025 sector outlooks for Global Medical Devices, Diagnostics & Products and Global Pharma & Biotech to deteriorating from neutral. The outlook for U.S. Healthcare Providers remains neutral.
Jun 11
China Monetary Policy: Further Rate Cuts Expected this Year
The People’s Bank of China’s (PBoC) is likely to make further to cuts to its seven-day reverse repo (RR) rate this year following its reduction to 1.4% from 1.5% on 9 May.
Jun 10
Fitch's Framework for Climate Risk in Structured Finance
Join our analysts, Susanne Albers and Will Rossiter, as they explore Fitch's framework for evaluating physical climate risks in structured finance and covered bonds, highlighting key principles and the potential impact on asset performance over time.
Jun 09
日本の生保は買収により米国での成長を模索
日本の生命保険会社は、優良な中規模の米国の生命保険会社を買収することで、米国での事業を拡大している。フィッチは、金融市場変動とインフレのリスクにもかかわらず、北米での事業拡大が利益を向上させると予想している。
Japanese Life Insurers Pursue Growth in the US Through Acquisitions
Japanese life insurers are expanding in the US by acquiring medium-sized, high quality US life insurers. Fitch expects increased North American operations to enhance earnings despite volatility and inflation risks.
Jun 04
Covered Bonds Rating Criteria
This video outlines Fitch’s rating methodology for covered bonds and explains the analysis undertaken from the starting issuer-default-rating to the final covered bond rating.
May 22
Tariff Uncertainty Continues To Shape Credit Risk Outlook
Fitch's 2Q25 Risk Headquarters report highlights a worsened risk outlook amid US tariff volatility. David Prowse and Justin Patrie discuss key points from the report, centered around how Trump-era policies continue to elevate investor concerns.
May 21
Islamic Finance Trends - Saudi Asset Management Industry Trends 2025
In this video, our senior analyst takes stock of the key drivers impacting the asset management industry in Saudi Arabia and share their outlook for the rest of 2025 and 2026. Here is Saif Shawqi.