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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 -
Oaktree closes $3 billion real estate debt fund with 55% deployment
3 years ago
Oaktree Capital Management held a roughly $3 billion final close on its third global real estate debt strategy, Real Estate Debt Fund III -
Troubled high yield credits go against flow as market rallies
3 years ago
Credit markets are beginning February with a more buoyant mood, but idiosyncratic volatility is keeping investors on their toes with several European high yield single name credits making big moves -
Eerie calm breaks as bears return to feast
3 years ago
After what looked a calmer and even buoyant start, credit markets have again pushed wider on Monday as investors wrestle with competing view on outlook for central bank policy -
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 -
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 -
NEPC adds CLO specialist to research team in Boston
3 years ago
The ex-Gapstow official will focus on public and liquid strategies in NEPC's credit and multi-asset group -
Travel, tech and financials give market boost ahead of Fed second day
3 years ago
Credit and equity markets are back in tandem with a sizeable rally ahead of Wednesday's closely watched US Federal Reserve meeting, following a volatile start to the week -
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 -
US and Euro credit diverge ahead of Fed
3 years ago
US and European credit are moving in different directions as investors try to rebalance their positions on Tuesday ahead of the US Federal Reserve meeting kicking off -
Financials move first as bearish trading resumes ahead of Fed meeting
3 years ago
The bearish tone in financial markets has spilled over into another week with cautious positioning ahead of the US Federal Reserve meeting, weakness in tech stocks, financial credits underperforming and growing trepidation about the possibility of Russian intervention in Ukraine -
See what's next: Netflix gives whole market a chill
4 years ago
Financial markets look set to end the week once again on a bearish trajectory, with fears over consumer confidence and company earnings helping take credit spreads back to their widest levels since the start of December -
Biden remarks add extra twist to Ukraine / Russia credit volatility
4 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 -
Gapstow expects strategic deals as credit manager M&A volume slumps to $120 billion
4 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 -
Credit makes comeback despite oil and treasury yields hitting new highs
4 years ago
The bearish mood that has gripped trading sessions over the past week appears to be easing slightly, with US and European credit indices picking up after a strong rally in Asia -
Värde promotes three credit specialists to partner
4 years ago
Värde Partners has promoted Jim Dunbar, Aneek Mamik and Carlos Sanz Esteve to partner -
Financials lead widening push amid oil and treasury surge
4 years ago
The widening pressure on credit spreads has resumed in response to rising treasury yields and oil prices, as Fed hawkish signals and supply chain concerns hold sway -
Ukraine and Russia volatility steps up amid political trial and conflict fears
4 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 -
Post-CPI relief rally gives way to bears as reality bites
4 years ago
A bearish tone has returned to financial markets in the latter part of the week, despite investors seemingly taking in stride the highest US inflation growth numbers for almost 40 years -
Riskiest names lead US credit rally as big number looms
4 years ago
US companies at the wider end of the high yield market have led the market's repositioning rally ahead of Wednesday's key inflation numbers, as investors brace for what could be a directional signal for Federal Reserve policy -
Ares launches new IG private credit strategy with senior hire
4 years ago
Ares Management has bolstered its credit capabilities by adding a new investment grade private credit strategy and hiring a managing director -
Napier Park promotes two senior employees to partner
4 years ago
Napier Park Global Capital has named two members of its team as partners -
Credit rallies ahead of key inflation numbers
4 years ago
Credit markets have made a corrective turn towards tighter spreads after several successive sessions of deterioration, as investors position ahead of this week's key US inflation numbers -
Telco provider jumps wider as market downturn extends
4 years ago
The bearishness that reasserted itself in the opening sessions of 2022 has spilled over into a second week, as investors anticipate elevated US inflation numbers that will put the focus back on central bank rate hikes and asset purchase tapering even as covid-19 cases hit new heights -
Park Square sells minority stake to Bonaccord
4 years ago
Bonaccord Capital Partners has bought a minority stake in $10 billion private credit shop Park Square Capital
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