Refine Search
Article Categories
Strategy Tags
- Direct lending (139)
- Emerging markets (229)
- High yield bonds (791)
- Investment grade credit (remove)
- Structured credit (190)
- CLO (181)
- Distressed debt (220)
- Leveraged loans (217)
- Marketplace lending (7)
- Synthetic/SRT (744)
- ABL Financing (100)
Geography Tags
-
UK pension looks to take investment grade strategy global
6 years ago
UK pension fund National Employment Savings Trust (Nest) has issued a search for a global investment grade corporate bond manager -
CDS sell-off brings profit-taking opportunity for basis trade players
6 years ago
Profit-taking on basis trades between CDS and cash bonds has begun, with the strong run for credit markets since the start of the year having hit a bump yesterday -
Ziggo CDS protection buyers get a lift as DC votes for successor
6 years ago
Holders of credit default swap protection on Ziggo Bond Finance have received a boost, with the EMEA Determinations Committee ruling that contracts structured under the 2014 Isda credit derivative definitions have a successor – dispelling fears they would be orphaned. -
Credit spread improvement is calm before the storm, warn strategists
6 years ago
European and US credit markets have begun 2019 with a more buoyant tone than they ended 2018, but strategists warn that bearish factors still outweigh and suggest the overall direction of spreads this year is likely to be wider -
Robeco looks to align macro fixed income with credit as it makes senior hire
6 years ago
Robeco has hired Jamie Stuttard as co-head of the global fixed income macro team and fixed income strategist -
JP Morgan AM's global fixed income chief steps down
6 years ago
JP Morgan Asset Management’s global fixed income and currency and commodities group chief investment officer has departed the firm, a spokesperson has confirmed -
Muzinich poaches Neuberger Berman MD for top fund distribution role
6 years ago
Muzinich has hired a global head of distribution, according to an announcement today, picking up the role previously held by Joshua Hughes, who left for CIFC Asset Management in May -
Selwood plants third credit opportunities fund with $150 million
6 years ago
Selwood Asset Management has launched a third iteration of its global credit opportunities strategy, according to 14 December US regulatory filings -
Cash-CDS basis set for comeback after "falling knife" mishap, predicts BNP Paribas
6 years ago
The beginning of 2019 should revive interest among credit investors to trade the basis between cash bonds and credit default swaps, according to BNP Paribas strategists – following what they term “falling knife” dynamics in this year’s fourth quarter -
BNP Paribas Asset Management hires multi-strategy products head
6 years ago
BNP Paribas Asset Management has created a new position within its fixed income division -
Neuberger Berman unveils three European fixed income funds
6 years ago
The three new European fixed income portfolios will be managed by Patrick Barbe and his six-strong team, who all recently joined from BNP Paribas -
Creditex obtains CFTC swap execution facility exemption
6 years ago
Creditex, the electronic brokerage for corporate bonds and credit default swaps, has been granted an exemption from a requirement to register with the US Commodity Futures Trading Commission as a swap execution facility -
Blackstone builds on multi-asset approach with fifth fund
6 years ago
The new vehicle will invest directly into Blackstone deals across its alternatives platform -
Credit sell-off has room to run and pricing is out of whack, says BNP Paribas
6 years ago
The credit market sell-off could have further to go despite recent widening and is “in the process of a late-stage business cycle unwind”, according to a strategist note seen by Creditflux -
European CDS index tightens inside US even as bonds languish
6 years ago
Credit derivatives markets have hit a key point of trend reversal this week, with the iTraxx Europe five-year CDS index trading inside its US counterpart CDX IG for the first time since May -
Ex-Citi CDO trading chief joins Jefferies as head of European fixed income
6 years ago
Jefferies has appointed a former Citi European credit and pre-crisis CDO trading head to lead its European fixed income business -
Dai-ichi anchors global infrastructure debt fund with $176 million
6 years ago
Asset Management One Alternative Investments has joined together with Dai-ichi Life Insurance to launch a new global infrastructure debt fund -
Akin Gump bolsters financial restructuring debt team with four partners
6 years ago
Akin Gump Strauss Hauer & Feld has bolstered its financial restructuring and global debt finance team with a new Connecticut office and the addition of four partners -
BT pension fund appoints CEO
6 years ago
BT Pension Scheme Management, which has exposure to credit strategies run by Apollo, Ares and Hermes, has now appointed a CEO -
Market rout drives US/Europe credit convergence, as Brazil leads Latin widening
6 years ago
Credit spreads have sharply widened globally as financial markets are being rocked by concerns for a trade war and rising US rates. An equity-led rout in the US yesterday afternoon -
Pimco launches latest ESG-focused credit offering
6 years ago
Pimco has launched its latest environmental, social and governance (ESG) fixed income offering - GIS Global Investment Grade Credit ESG Fund. -
Axiom puts tranches at core of push into synthetic credit
6 years ago
Axiom Alternative Investments is set to target both index and bespoke tranches with the launch of Axiom Synthetic Credit Opportunity Fund. -
Jefferies creates team and aims to build CSO business
6 years ago
Amid mounting buy-side interest in the synthetic CDO market, sources say that Jefferies is looking to build a US business arranging these transactions -
Brexit disruption risk for derivatives is uncomfortably high, Nicky Morgan tells ISDA conference
6 years ago
Brexit cast a long shadow over the International Swaps and Derivatives Association’s Europe Conference in London this week, as keynote speaker Nicky Morgan, chair of the UK’s House of Commons Select Committee, said the likelihood of a no-deal scenario is over 50% and warned about the disruption this would cause to derivative markets -
M&G targets £250 million for UK-listed multi-strategy credit fund
6 years ago
M&G is targeting £250 million (£328.6 million) for a new closed-end investment trust, which will be listed in the UK
Want all the latest news, comment, analysis and data?