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Purdue Pharma bankruptcy highlights value of ESG analysis
6 years ago
Purdue Pharma's bankruptcy this week, and the sector wide concern over the US opioid epidemic, has highlighted the utility of environmental, social and governance (ESG) standards in credit analyses -
Thomas Cook looks set to fly solo as default in outgoing Crossover series 31
6 years ago
The Determinations Committee has accepted a request to rule on whether Thomas Cook Group has triggered a bankruptcy credit event, after the UK-based travel company filed for chapter 15 protection in New York -
BlueBay launches global leveraged finance fund
6 years ago
BlueBay Asset Management has launched a global leveraged finance fund that is able to allocate towards high yield bonds, leveraged loans, structured credit and investment grade assets -
Credit traders' kickstand: ECB rocket boosts Europe's outperformance of US
6 years ago
Investment grade credit index iTraxx Europe has reopened a 5bp differential with US counterpart CDX IG, boosted by the European Central Bank’s stimulus plan -
China ambitions checked in final roll lists for iTraxx and CDX indices
6 years ago
The index roll lists for iTraxx Europe, iTraxx ex-Japan and CDX EM, have all undergone a rethink since IHS Markit published provisional lists earlier this week, with final lists showing name changes -
Draghi sends European credit to 2019 tights, as Trump demands Fed response
6 years ago
European investment grade credit – and particularly the financial sector – surged tighter today as European Central Bank president Mario Draghi, in the penultimate meeting of his reign, unveiled a ‘whatever it takes’ stimulus -
US spreads reconverge on Europe as traders hold breath for ECB
6 years ago
Credit markets are finely poised ahead of today’s meeting of the European Central Bank in Frankfurt today, with some positivity around US-China tariff talks allowing US spreads to gain ground as European expectation remains tempered by German recession fears -
iTraxx and CDX roll provisional lists reveal effects of index overhauls
6 years ago
Eagerly awaited provisional lists are out for this month’s index CDS rolls, with big changes signalled across iTraxx and CDX products -
MacKay Shields integrates CVP's loan team while spinning out distressed debt
6 years ago
MacKay Shields has spun out the distressed debt business of Credit Value Partners and focus resources on CVP’s leveraged loan platform -
Wells Fargo AM makes big credit hire to co-head its private strategies team
6 years ago
Wells Fargo Asset Management has appointed Vincent Lu to co-head the firm’s private strategies, according to an internal memo seen by Creditflux -
CDS data snapshot: central bank positioning and index rolls drive flows
6 years ago
Welcome to the inaugural run of what will become a weekly insight into credit derivatives trading. Each week, Creditflux will highlight trends and dynamics from most recently available market data. We welcome feedback on measures of the market readers would like to see here in future -
US credit managers make ESG breakthrough after taking a first step via UNPRI
6 years ago
Incorporating a framework for investing in companies based on environmental, social and governance (ESG) factors is a challenge that US credit managers are accepting in growing numbers -
West coast pension eyes European private credit for diversification
6 years ago
The $3.1 billion pension fund is looking to diversify its private credit exposure following an asset class education by investment consultant Meketa -
THL updates credit investment framework to include ESG
6 years ago
THL Credit Advisors has announced that it has developed an investment framework for assessing environmental, social, and governance (ESG) factors in analysing credit quality and risk factors -
Credit traders' kickstand: Financials lead compression as pre-ECB and index roll bulldozers flatten spreads
6 years ago
Caution does not appear to be an operative word in financial markets ahead of next week’s key European Central Bank meeting, with financial names leading the way as credit spreads return to this year’s tightest levels and stocks ascend towards post-crisis peaks -
Golub blazes trail to Europe as other US lenders eye partnerships
6 years ago
US direct lenders are looking to diversify their exposures by allocating to European loans, sources say. Last month, Debtwire reported that one of the largest US middle market operators, Golub Capital Partners, was expanding into the continent by building out a team in London. -
Guidelines fail to assuage fears over loose reporting standards
6 years ago
The Chartered Financial Analyst (CFA) Institute’s new hedge fund reporting guidelines come into play next year, but some say they fall short of a much-needed overhaul. -
Return to quarterly rolls advocated as CSOs hit dry patch
6 years ago
A marked drought of synthetic bespoke activity since July largely results from caution ahead of the September CDS roll, say investors, with some suggesting a return to quarterly rolls for single name contracts should be considered. -
‘Ex’ index trades take off as dispersion peaks
6 years ago
A gap is yawning between how the weakest constituents of CDX HY and iTraxx Crossover trade versus their broader portfolios, leading investors to find new ways to hedge and capture idiosyncratic risk. -
Man uses inflation as key input for asset allocations
6 years ago
Man Group has developed a ‘fire and ice’ framework which it is using to shape allocations across multi-asset funds. The system is based on the idea that inflation is the single-most important factor driving portfolio returns over the long-term. -
Prepayments pose reinvestment dilemma for CLO managers
6 years ago
CLO managers globally could be left sitting on piles of cash amid an uptick in loan prepayments. Standard & Poor’s reported that institutional US loan prepayments had hit $26 billion in July, and more recently some widely-held CLO names are set to return principal to lenders, with financial data provider Refinitiv US Holdings and Italian telecom operator Wind Tre taking this route. -
EQT looks to raise €500 million via IPO
6 years ago
The initial public offering is anticipated to increase EQT's flexbility to “pursue growth opportunities” and expand its private market investing business -
Credit traders' kickstand: Europe ascendant as high yield pipeline returns
6 years ago
The high yield bond primary market grinds back into gear this week just as European credit reaches an extreme point of outperformance over the US, and comes on the back of Europe’s busiest week of investment grade issuance in 18 months -
Europe and US diverge on covenant lite structures
6 years ago
Direct lending is syphoning away traditional loan supply -
Green bonds and international credit deliver double-digit returns for Swedish pension
6 years ago
Second Swedish National Pension Fund (AP2) reached SEK 367.4 billion in the first half of 2019, with investments in fixed income generating double-digit returns, according to its half year report
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