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A&M makes securitisation breakthrough with SRT for Polish bank
2 years ago
Alvarez & Marsal says it has completed its first securitisation as sole arranger after completing an SRT referencing a pool of housing community loans -
Credit hedge funds (June 2022)
3 years ago
Credit hedge fund returns
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Ucits at a glance: Diamond shines after dull start to year
3 years ago
Ucits funds have continued to arrest the slide that followed the dip in February, as 37% of funds in April saw positive returns -
Novicap names new CEO in leadership shuffle as it sets targets for credit division
3 years ago
Novicap, a fintech company offering working capital optimisation solutions to SMEs and mid-market corporates, has shuffled its leadership structure and set a €1 billion cumulative volume target for its credit division by the end of this year -
Muzinich targets high income with new flexible credit fund
3 years ago
Muzinich & Co has launched Muzinich Dynamic Credit Income Fund, which it says is “designed for investors seeking outperformance in rising credit markets without taking excessive risks” -
Credit hedge funds (May 2022)
3 years ago
Credit hedge fund returns -
Ucits at a glance: Robus stands tall among Ucits funds
3 years ago
27% of Ucits funds had positive returns in March, a slight improvement from 10% in February -
Dispersion begets dispersion in mixed bag of fund returns
3 years ago
Idiosyncratic risks are set to rise in credit, with fund managers becoming occupied with tail risks, and that has been seen in a scattered set of March hedge fund returns -
Credit Rendezvous: Pass masters
3 years ago
Most often, a credit market downturn has its roots mired in one big, blatant obstacle that credit managers have to focus their attention to overcome. But right now, it’s not the dominant risk factor that has to be defeated, it’s the sheer number of them... -
SEC's CDS proposals could impede market rather than help it: Barclays
3 years ago
New rules proposed by the US Securities & Exchange Commissions to tighten oversight of the CDS market could mean big changes for the market and have the effect of sapping activity, warn Barclays credit strategists in a note published on Thursday -
Credit hedge funds (April 2022)
3 years ago
Credit hedge fund returns -
Ucits at a glance: Long-short funds provide resistance in tough month
3 years ago
In February, Ucits funds followed market sentiment as 90% made negative returns -
PGGM partners with Polish bank for landmark SRT
3 years ago
PGGM has closed what it claims to be the largest securitisation in central and eastern Europe through a PLN 9 billion ($2.08 billion) SRT -
Ucits at a glance: 2022 opens shakily but with a familiar lead
3 years ago
Ucits funds moved slowly into 2022 as 59% made negative returns in January -
Credit hedge funds (March 2022)
3 years ago
Credit hedge fund returns -
Infrastructure manager targets €1 billion for eclectic mix of project finance debt and SRTs
3 years ago
A Copenhagen-based firm is launching its first credit fund and has partnered with an SRT specialist in London for a component of its potential €1 billion offering -
Credit hedge funds (February 2022)
3 years ago
Credit hedge fund returns -
Ucits at a glance: Robus claims top spot in 2021 after tight race
3 years ago
Ucits funds have ended 2021 on a high as 62% made positive returns in December -
Barclays seeks head of SRT risk
3 years ago
Barclays is looking to hire a head of SRT risk for its wholesale credit portfolio, having established a credit risk transfer programme under the Colonnade branding -
Broad sell-off as market moves to price five or more Fed hikes
3 years ago
Financial market sentiment has taken another dive in the wake of the US Federal Reserve meeting on Wednesday, with many taking Fed chairman Jerome Powell’s comment that “this cycle is different from the previous one” to mean a steeper tightening than previously thought -
Credit Rendezvous: the upside of inflation
3 years ago
It is clear, inflation is not transitory and central banks are acting with several interest rate hikes likely in store for the US this year. That makes loans and CLO debt tranches attractive, but there could be opportunities beyond these floating rate assets -
Gapstow expects strategic deals as credit manager M&A volume slumps to $120 billion
3 years ago
M&A volume involving credit asset managers dropped last year with total target value assets under management slumping to $120 billion from $149 billion in 2020 (and $254 billion in 2019), according to Gapstow Capital Partners -
Banks and loans to benefit in 2022 as safe havens dwindle
3 years ago
Safe havens and sector pitfalls are among some of the top considerations for portfolio managers this year, as a consensus forms that credit could suffer versus other asset classes -
Credit hedge funds (January 2022)
3 years ago
Credit hedge fund returns -
Ucits at a glance: Robus and Altana dip but stay at the top
3 years ago
In October, Ucits funds continued a slide that had begun the previous month with 60% of them in the red
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