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New manager Resco lands ex-credit head to found advisory board
6 years ago
Resco Asset Management, a London based asset manager set up last year, has appointed the first of an anticipated three advisory board members -
Man GLG adds credit portfolio manager in London
6 years ago
Man GLG has appointed a lead portfolio manager from Aventicum Capital Management -
Triple B fightback has begun, says BNP Paribas
6 years ago
Fallen angel risk – the possibility that a wave of triple B credits could be cut by rating agencies to sub-investment grade – should begin to decline, according to strategists at BNP Paribas -
Dechert adds funds partner in London office
6 years ago
Law firm Dechert has expanded its fund practice with the appointment of a partner from Akin Gump -
Short resets take CDS indices wider at March roll
6 years ago
CDX and iTraxx credit derivative indices are rolling into new series today, with short position resets taking the incoming series 31 of the Europe main index wide of where series 30 closed yesterday -
Investors eye trade finance as alternative to direct lending
6 years ago
Institutional investors are turning their attention towards trade finance funds in a bid to reduce duration risk within their portfolios, sources say. -
CDS relative value traders shift their bets as Europe trades inside US
6 years ago
Credit derivative markets have hit a point of position cutting and resetting, with the iTraxx Europe index having dipped inside its US counterpart CDX IG for the first time since December even as the European Central Bank’s new funding programme underwhelmed financials traders -
Isda extends German CDS protocol deadline beyond March index roll
6 years ago
The International Swaps & Derivatives Association (Isda) has extended the deadline for market participants to adhere to its German bank CDS protocol after it became clear a number of affected parties would not be signed up in time -
Illiquid credit boost returns for PensionDanmark
6 years ago
PensionDanmark has generated 5.8% returns from its illiquid credit portfolio for the year 2018, according to its latest annual report published today. But its liquid credit portfolio took a 3.4% hit -
US and UK sound post-Brexit derivatives regulatory accord
6 years ago
The US Commodity Futures Trading Commission (CFTC) and the Bank of England have issued a joint statement assuring derivative market participants of continued access to trading and clearing after the UK’s exit from the European Union -
Generali seeks high yield analysts in Milan as credit research head builds team
6 years ago
Generali Investments’ head of global credit research has relocated within the firm from Paris to Milan and is seeking hires to build a team in the Italian city -
European sub-financials shake-off Santander AT1 shock, outperforming senior fins and corps
6 years ago
Santander’s decision yesterday not to call a €1.5 billion additional tier one (AT1) bond shocked investors in the asset class. But while this may have been expected to bring a wider reverberation of pain, investors and strategists have noted a firming up of the European financial bond sector today -
HSBC boosts single name CDS and index trading with experienced hire
6 years ago
HSBC has added a former index trading head to its credit team in London -
Deutsche plots single name CDS return and index push with two senior hires
6 years ago
Deutsche Bank has made two senior credit trading hires to its London office, with sources saying these portend a revival of its CDS market-making business -
It’s going to be a credit picker’s market
6 years ago
Our panel of experts believe that the credit market will be volatile this year, but there will be opportunities in European credit and additional tier one bonds, trups CDOs and unitranches -
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
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