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Credit hedge funds (July 2022)
2 years ago
Credit hedge fund returns -
Real estate is about to get real bad: Welshcake
3 years ago
The extent of disconnect between real estate and what other markets have been experiencing is enough to convince me a whole other layer of economic mayhem is on the way. But investors in credit, for all their current pain, could still end up shining if they are prepared -
CLO top stack offers best value versus corp debt after junior tranche rally: Barclays
3 years ago
Having lagged in the recent market recovery, CLO triple A paper looks attractive versus corporate investment grade and the CDX IG credit derivatives index -
Credit hedge funds (June 2022)
3 years ago
Credit hedge fund returns
-
Credit hedge funds (May 2022)
3 years ago
Credit hedge fund returns -
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... -
JP Morgan splits global head of institutional structuring role as it promotes three
3 years ago
JP Morgan has rejigged part of its credit structuring business with a set of promotions for officials who have covered SRTs, CLOs and CSOs as part of cross-asset roles -
German property co hits new wides as investors scrutinise investigation report
3 years ago
The bearish momentum that gripped financial markets on Friday has spilled over the weekend into Monday's session, with an especially big move in the debt of one German real estate borrower taking it to worrisome spread levels -
Credit hedge funds (April 2022)
3 years ago
Credit hedge fund returns -
Credit indices show central bank-led swing potential
3 years ago
Macro credit trading in March was overwhelmingly about the consequences of Russia’s invasion of Ukraine, but the pendulum is swinging back to central bank policy -
High stakes promise big year for new short-dated CSOs
3 years ago
The bespoke tranche market looks set to put in revitalised issuance numbers in 2022 as interest grows in structured assets. But a clear trend is emerging for investors to assume short-dated exposure amid increasing macro and geopolitical uncertainty -
Credit hedge funds (March 2022)
3 years ago
Credit hedge fund returns -
"Pivot points in curves may not stay where they have been historically"
3 years ago
CTAs and CSOs are changing the way credit curves move -
Credit hedge funds (February 2022)
3 years ago
Credit hedge fund returns -
"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 -
Performance dispersion hits index equity correlation
3 years ago
Volatility at the start of the year has intensified moves in iTraxx and CDX index tranches, with traders pointing to growing dispersion in performance among constituents as a theme that will bring more focus on equity correlation in 2022 -
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 -
Credit hedge funds (January 2022)
3 years ago
Credit hedge fund returns -
Relative value traders seize on fleeting mismatches
3 years ago
The volatility that hit credit markets from mid-November has produced rare opportunities for relative value traders after a dearth for 12 months -
Citi's former correlation trading star takes on new risk head role
3 years ago
Citi's former head of credit correlation trading has taken on a new role in the bank, becoming head of in-business market risk for global markets -
"No-one talks about the part oil price surges played in the 2008/9 global financial crisis"
3 years ago
Investors eyeing inflation shocks and supply chain disruption should instead be paying attention to the brewing energy crisis -
Credit hedge funds (November 2021)
3 years ago
Credit hedge fund returns -
Dispersion trades in play as transatlantic rift opens
3 years ago
The return of idiosyncratic risk at the wide end of US and European high yield markets has put index equity tranches for the two jurisdictions on noticeably divergent paths, say correlation traders
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