In our globally interconnected world, various geopolitical factors, the financial markets, policy decisions, shifting sources of capital and digital transformation are changing the way we think about financial markets and related investment decisions. Please join Mayer Brown market leading partners, former federal government policy experts and leaders in finance for a discussion on hot topics and a look at what may be next for the debt markets and their current headwinds.

Topics Include:

  • Geopolitical and macroeconomic related effects on debt markets
  • Market update on leveraged finance with an eye towards banks, direct lenders and private credit.
  • Navigating a high interest rate environment and emerging trends in restructurings.

Wednesday, February 7, 2024
3:00 p.m. – 5:30 p.m. Program
5:30 p.m. Post-Program Reception

Mayer Brown
71 South Wacker Drive
Chicago, IL 60606

For additional information, please contact Alexandra Auth at