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Impact of Credit Market Volatility - S&P's Views on the Broader Implications of Recent Developments in Debt Markets

For media inquiries please contact:
Martin Winn, Communications, London
Tel: +44 (0)20 7176 3740
martin_winn@standardandpoors.com

Introduction

Recent concerns about volatility and liquidity in global financial markets have raised questions about the implications for the corporate sector, banking system and economy around the world. Standard & Poor's has been monitoring the impact of market conditions on the global economy, regional housing markets and the corporate and financial sectors worldwide. Below are a selection of reports and commentaries from across Standard & Poor's network and businesses that assess the broader consequences of latest events in financial markets.

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