Two years in, the oil price pullback has resulted in a sharp increase in defaults and a corresponding urgency in understanding creditworthiness and the impact of oil price volatility.
Join us as we discuss:
- Key drivers and the outlook for oil prices
- The current credit environment for upstream providers
- Capital markets access, including borrowing bases
Managing Director, U.S. Oil & Gas Ratings, S&P Global Ratings
Manager, Energy Analysis, S&P Global Platts
Director, Risk Services, S&P Global Market Intelligence