Strong EBITDA growth, receding virus impact support positive outlook
- Recovery remains uneven
- Who comes out of the pandemic stronger, who is challenged?
- Increasing ESG risks
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|Martin has more than 20 years capital markets experience as a credit and equity analyst in Europe and the Middle East. Based in Frankfurt, he is currently lead analyst for a portfolio of chemical companies and is the EMEA sector coordinator. His assignments at Moody’s include a secondment in Dubai from 2008 till 2015 where he covered corporates and government-related issuers from the Middle East, Turkey and Africa spanning many sectors including oil and gas, investment holding companies, real estate, utilities and telecoms. Martin was content lead for Moody’s conferences in the CEE region from 2015-2020. Since joining Moody’s in 2004 he has been involved in rating assignments for investment grade and high yield credits as well as Islamic Finance transactions. Among his primary coverage in Europe were the manufacturing, packaging, paper and forest products sectors. Martin holds a diploma in economics with a concentration in finance and econometrics & statistics from the University of Konstanz, Germany.|
Sven Reinke is a Senior Vice President in Moody’s Corporate Finance Group. Sven covers the Integrated Oil and Gas, Metals & Mining and Chemical sectors. Sven joined Moody’s in the autumn of 2013 with 12 years’ experience in a number of different corporate credit roles.
Prior to joining Moody’s, Sven spent six years as a Senior Corporate Credit Officer at UBS Investment Bank in London responsible for a portfolio of corporate in different industries including the Retail and Consumer Services sectors. Prior to UBS, Sven was the Lead Credit Analyst for Bank of Tokyo-Mitsubishi’s German and Benelux blue chip counterparties. At the start of his career, Sven spent four years as a Credit Analyst at Deutsche Bank’s German mid-cap credit risk department.
Sven has a Masters Degree in Economics with focus on finance and banking from The Berlin School of Economics and Law. Sven also passed all levels of the CFA Program.
Maria Maslovsky is Vice President – Senior Analyst at Moody’s in the EMEA Corporate Finance Group based in London. She is managing a portfolio of both investment grade and high yield names falling in the Chemicals, Transportation, Services and Travel sectors.
Maria joined Moody’s in 2003. Her previous roles in the company include working in Moody’s New York office as an analyst covering US Real Estate Investment Trusts (REITs) and commercial real estate finance firms.
Prior to Moody’s, Maria was an analyst at a hedge fund and an associate at JP Morgan in New York.
Maria holds an MBA from Columbia Business School and a Bachelor of Science from Cornell University.
Peter Firth is an Associate Managing Director in the Corporate Finance Group at Moody’s Investors Service, leading a team of analysts covering a diverse portfolio of industries including commodities, telecommunications & media, and business services. He also has joint responsibility for the leveraged finance franchise in EMEA. He joined Moody’s in July 2013, prior to which Peter had spent the last 20 years in the European finance market. He was most recently a managing director at Black Diamond Capital Management and GSC Group focusing on European high yield bonds and leveraged loans. Previously Peter was a senior director in the leveraged loan group at BHF-BANK. He started his banking career at Lloyds Bank.
Peter has a Classics degree from Cambridge University and is an associate of the Chartered Institute of Bankers.