Global Emerging Markets Live 2026
Global shocks. Local strength. Divergent outcomes.
Emerging markets are facing persistent and intensifying global shocks — geopolitics, volatile commodities, and uneven growth — but credit outcomes are no longer moving together. In 2026, resilience is shaped less by the global cycle and more by policy credibility, funding structures, and issuer level decisions.
You’ll explore:
- How global shocks actually transmit into credit
- Why sovereign credit paths are diverging
- Where corporate resilience is emerging — and where risk is being masked
Join the conversation to sharpen your view on where EM credit strength is emerging — and where vulnerabilities are quietly growing.
Themes in Focus
Who attends
- EM and global fixed income portfolio managers
- Credit analysts covering EM sovereigns and corporates
- Risk, strategy, and research professionals focused on emerging markets
- Investors seeking bottom‑up, region‑specific credit insights beyond high‑level macro views
Why Attend?
See how key credit decisions are formed
Focus on signals that hold up under scrutiny
Live, detailed discussion
Speakers
Rahul Ghosh
Managing Director, Global Head of Sustainable Finance
Moody’s Ratings
Laura Acres
Managing Director, Head of APAC Corporate Finance
Moody’s Ratings
Ariane Ortiz-Bollin
Associate Managing Director, Sovereign Risk
Moody's Ratings
Yasmina Serghini, CFA
Managing Director, Corporate Finance (including MEA corporates)
Moody's Ratings
Dr. Atsi Sheth
Chief Credit Officer, Head of Credit Strategy & Standards
Moody's Ratings
Marianna Waltz
Managing Director, Head of LatAm Ratings and Research
Moody's Ratings
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