S&P Global Ratings IFR Outlook

February 4, 2019

What matters for infrastructure investors in 2019? With nationalist and populist movements rising, investors are navigating an environment of increased political risk. This may have repercussions for regulatory stability – and, ultimately, for country risk or sovereign credit quality.

At the same time, we see that environmental, social, and governance (ESG) matters are climbing the business agenda: investors’ mandates for companies seen to be acting sustainably are increasing.

Against this backdrop, S&P Global Ratings’ Global Infrastructure Finance Outlook keeps readers abreast of the credit rating agency’s most-read research from the past quarter – offering insights into how the Infrastructure segment is changing and, importantly, how it may yet evolve.

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