Refine Search
Article Categories
Strategy Tags
- Direct lending (145)
- Distressed (1)
- Emerging markets (remove)
- High yield bonds (remove)
- Investment grade credit (252)
- Structured credit (172)
- CLO (171)
- Distressed debt (207)
- Leveraged loans (191)
- Marketplace lending (27)
- Synthetic/SRT (256)
- ABL Financing (125)
Geography Tags
-
Global markets reel as Russia goes to war with Ukraine
3 years ago
Russia’s invasion of Ukraine is sending shockwaves around the region and far beyond, with the military campaign demanding a sharp reassessment of where the spiralling crisis could lead -
European credit rallies in stark discord with deepening Ukraine crisis
3 years ago
Cognitive dissonance looks to be afoot in the credit market on Wednesday, with indices rallying for a second day even as Russian and Ukrainian spreads move to new wides -
Investors look to US response after Putin lights touch paper on Ukraine intervention
3 years ago
Credit investors are left facing a what-happens-next moment after Vladimir Putin recognised the Donetsk and Luhansk regions of Ukraine as independent states, paving the way for Russian forces to intervene. In response the US has moved swiftly to impose new sanctions targeting the two regions -
French co rattles investors on micro level as Russia overclouds macro
3 years ago
After a cautious opening, investors in the European credit market have resumed hedging as western leaders continue to talk up the prospect of Russia invading Ukraine and the Kremlin has dismissed hopes of a Biden-Putin summit as premature -
Investors rush to hedge Russia as barrage of threats tee up nervous weekend
3 years ago
The prospect of a flare-up between Russia and Ukraine has left credit spreads back at their recent wide levels going into the weekend, with European investment grade credit particularly feeling the heat following 'false flag' headlines on Friday -
Credit fund rout extends as storm winds buffet from all sides
3 years ago
Another choppy week for financial markets has extended the run of fund outflows, with investors fleeing from all parts of credit and even equity suffering a drop, with government bonds gaining traction -
Scramble to cover shorts extends rally, but analysts stub out tobacco
3 years ago
European outperformance of US credit is picking up despite the UK posting record inflation numbers, as optimism on Ukraine combines with the wrong-footing of investors that had positioned extremely bearishly -
Europe drives relief rally after Russia signals troop withdrawal
3 years ago
European financial market volatility has brought another reversal of relative value dynamics versus the US, with Russia/Ukraine developments extending their sway -
European panic over Ukraine pushes market to new wides
3 years ago
European underperformance of US credit has resumed at the start of the week, with the market waking up on Monday morning to another sharp sell off. But the lengthening downturn has some believing spreads have overshot, while others insist worse is to follow -
Ukrainian volatility speaks loud and clear after Russia talks fail
3 years ago
Ukrainian and Russian credit are ending the week with renewed volatility, as failed attempts at diplomatic talks appeared to exacerbate rather than simmer down tensions between the countries -
Credit hedge funds (February 2022)
3 years ago
Credit hedge fund returns -
Credit funds at a glance (February 2022)
3 years ago
A round up of fundraising and people moves in credit -
They said it: "The third term is Jinping’s legacy..."
3 years ago
... He does not care about near-term growth." -
Fund performance: Wasserstein's early 2021 performance drives it to the top
3 years ago
The final top 10 of 2021 featured a variety of funds as five different strategies were ranked among the best. US high yield was the most highly represented with two BlackRock funds and an Angel Oak in the top 10 -
"Credit investors should interpret 100,000 Russian troops on the Ukrainian border as worth pricing in"
3 years ago
Welshcake tells credit portfolio managers to under-promise and over-deliver in 2022 -
Heavy market rout takes credit back to November 2020 levels
3 years ago
High volatility is gripping financial markets at the end of a week that has been decisively bearish for credit spreads, as concerns about the end of central bank stimulus and warnings of a Russian invasion of Ukraine next month layer on pain for investors -
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 -
Biden remarks add extra twist to Ukraine / Russia credit volatility
3 years ago
The war of words around Russia's intentions regarding Ukraine is keeping both countries' credit spreads volatile, with US president Joe Biden's latest remarks leaving room for interpretation on both the perceived threat and how Ukraine's allies are prepared to respond -
Ukraine and Russia volatility steps up amid political trial and conflict fears
3 years ago
Ukrainian and Russian spreads are among the market's biggest movers at the start of the week, as developing tensions between the two countries ramp up another notch and former Ukrainian president Petro Poroshenko has arrived in Kyiv to face treason charges -
Credit hedge funds (January 2022)
3 years ago
Credit hedge fund returns -
Credit funds at a glance (January 2022)
3 years ago
A round up of fundraising and people moves in credit -
CLO funds shine amid the gloom with unmatched returns
3 years ago
Credit funds stumbled in October, with European high yield, emerging markets and long-short strategies the weakest performers, according to Creditflux data, as several funds in these categories suffered losses -
Determinations Committee agrees to rule on first credit event question in 10 months
3 years ago
Credit event triggers are back on the market's list of discussion points for the first time since February, with the Determinations Committee having agreed to rule on an Asian failure to pay question -
Euro bonds set to outperform US despite big fund outflows: BofA
3 years ago
The November credit crash has left Euro investment grade bonds wider than those in the US, a rare occurrence that sets the scene for a January rally, say Bank of America credit strategists -
Reality check for credit as omicron research timeline extends
3 years ago
Another dose of harsh reality has sunk into financial markets on Tuesday, as investors continue to reappraise the impact of tightening travel restrictions and the timeline for pharmaceutical work to address the omicron covid-19 variant
Want all the latest news, comment, analysis and data?