Lessons Learned From 3 Decades Of Global Project Finance Defaults

Mini-Webinar: Get Best Practices in Less than 20 Minutes

Project Finance is often the most complicated and misunderstood asset class from a risk modeling perspective, with critical credit factors that vary depending on the type of project or even sub-sector, as well as significant exposure to market volatility.

Given the complexity, how do you do you assess Project Finance default risk?

In less than 20 minutes, our panel will explore this question, as well as many more that we often hear from our clients, from the perspective of 3 decades of Project Finance default data. The mini-webinar is broken into three main sections:

1. A brief exploration of the Project Finance default data that we used to determine the key lessons learned

2. How you can apply those lessons learned to the global infrastructure space and other Project Finance sectors in both emerging and developed markets

3. An actionable, best practice approach to determining the default risk for Project Finance