One year has passed since the pandemic unexpectedly hit us in a way we had no experience how to handle. How did this affect the capital markets in the respective Nordic countries and how did the governments react? You are invited to join us for a presentation from each country followed by a panel debate – all in a short seminar on a screen near you.
Confirmed speakers include:
- Angela Brusas, Director, Funding & Investor Relations, Nordic Investment Bank
- Heidi Schauman, Chief Economist at Swedbank
- Peter Werleus, Portfolio Manager, Norron
- Morten Husted Permin, Partner, Deloitte
- Øystein Børsum, Chief Economist and Credit Strategist, Swedbank
- Markus Nilssen, Partner, BAHR law firm
This seminar will take place on Thursday 11 March 2021 and will be held as a virtual/on-line event.
12.30 | WELCOMING REMARKS |
12.35 | Covid-19 and Nordic Investment Bank’s Response Bond framework Angela Brusas, Director, Funding & Investor Relations, Nordic Investment Bank |
COVID-19’S IMPACT ON NORDIC CAPITAL MARKETS Markus Nilssen, Board Member, NCMF (moderator) | |
12.50 | FINNISH PERSPECTIVE Heidi Schauman, Chief Economist, Swedbank |
13.00 | SWEDISH PERSPECTIVE Peter Werleus, Portfolio Manager, Norron |
13.10 | DANISH PERSPECTIVE Morten Husted Permin, Partner, Deloitte |
13.20 | NORWEGIAN PERSPECTIVE Øystein Børsum, Chief Economist and Credit Strategist, Swedbank |
13.30 | PANEL DEBATE All participants |
13.55 | END REMARKS |