Ep. 139 - Balance sheet, M&A and capital raising strategies for a volatile environment Podcast By  cover art

Ep. 139 - Balance sheet, M&A and capital raising strategies for a volatile environment

Ep. 139 - Balance sheet, M&A and capital raising strategies for a volatile environment

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Bank advisers and market participants at S&P Global Market Intelligence’s annual community bankers conference said bank M&A and IPO activity is in a holding pattern and will pick up once there is greater clarity over the macroeconomic and interest rate environment. They also suggested that banks should avoid trying to position their balance sheets for particular rate moves and instead prepare for a variety of scenarios. The episode highlights balance sheet strategies, the current regulatory environment and the outlook for bank deal activity from experts at Piper Sandler, Darling Consulting, Alston & Bird, Stephens, KSK Investors and Hovde Group.

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