Bankers and funds unite to dive deeply into market trends; where the capital for projects is coming from, the risk reward expectations in both debt and equity markets, and explore how banks and private placement investors view market conditions.
How are debt players feeling about the uncertainty caused by inflation and dislocation in the market?
Do strategic equity providers add value to P3 deals or can a 100% financial sponsor grouping work well?
Secondary market activity: private-private and public-private. What opportunities are there to recycle capital?
Will private credit emerge as a substantial player in infrastructure debt markets?