
Frank Gill
Managing Director, S&P Global Ratings
Frank Gill is a Managing Director in the European Sovereign Ratings Group, and the Lead Sovereign Analyst in EMEA for S&P Global Ratings. His recent publications include “Credit FAQ: G7 Bond Market Developments With A Spotlight On Gilts,” “Sovereign Debt: Is The Austerity Versus Growth Dilemma Back?,” “Sovereign Debt In Large Advanced Economies: Up, Up, And Away.” In the past he has been responsible for analytical coverage of the United Kingdom, Italy, Portugal, Spain, and Turkiye. Before working for Standard & Poor’s, Frank was a macroeconomic analyst focusing on Europe for Fortress, a New York based asset manager.
His earlier work experience included over eight years as an analyst focused on Russia, Eastern Europe, and Turkey for Ideaglobal in London. Frank Gill holds a Post-Graduate Diploma in Economics from the London School of Economics and an M.I.M. from the American Graduate School of International Management.
Featured work

Prospects for reducing sovereign debt while tackling ongoing crises
In order to tackle the high rates of sovereign debt decisive action is needed. How likely are the needed adjustments and how can we achieve them?