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Download The Full April 2020 Issue PDF

  • HOW WE DIE, PART 1
  • AIRSPACE REVIEW
  • IFR FILES: RUIDOSO
  • LOAs: TRIBAL KNOWLEDGE
  • A DME/DME RNAV FUTURE?

Gemini Sparkle

Key Takeaways:

  • The global financial markets in April 2020 experienced extreme volatility, a liquidity crunch, and a sharp widening of credit spreads across equities, bonds, and loans due to the unprecedented impact of the COVID-19 pandemic.
  • Central banks, particularly the US Federal Reserve and the European Central Bank, responded with massive stimulus packages, aggressive quantitative easing, and new credit facilities to stabilize markets and restore investor confidence.
  • Despite the immediate crisis and market dislocation, there was a continued focus on Environmental, Social, and Governance (ESG) and green finance, signaling sustained long-term commitment to sustainable investment and development.
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