Refine Search
Article Categories
Strategy Tags
- ABS (1)
- Direct lending (156)
- Distressed (4)
- Emerging markets (289)
- High yield bonds (1069)
- Investment grade credit (800)
- Structured credit (329)
- CLO (296)
- Distressed debt (407)
- Leveraged loans (323)
- Marketplace lending (27)
- Private credit (4)
- Synthetic/SRT (remove)
- High Yield/Unrated (16)
- ABL Financing (115)
Geography Tags
-
Grifols basis opportunity opens as investors eye bond-CDS compression
3 years ago
The spread differential between Grifols’ CDS and its B3/B-/B+ rated €1 billion 3.2% senior unsecured 2025 bonds has opened up a positive basis-trade opportunity -
Bond tenders bring outperformance as credit fends off commodity woes
3 years ago
Credit markets are managing to stay remarkably robust this week despite high volatility in oil prices and covid deaths in China undermining hopes for its economy to reopen -
HIG adds capital raising clout with senior credit and PE hires
3 years ago
HIG Capital has added to its global credit and private equity businesses with three senior appointments -
Outsized corporate rally puts financials RV in focus
3 years ago
The week is ending with resumption of credit’s recent rally after a brief pause, and Europe once again taking the lead over the US -
BayernLB reveals two investors behind breakthrough €1bn SRT
3 years ago
Bayerische Landesbank says it has produced its first simple, transparent and standardised (STS) transaction in the form of a €1 billion SRT -
UK nerves rattle Europe/US relative value trades, as Hunt seeks to reassure investors
3 years ago
A palpable mood of trepidation on Thursday around the UK’s autumn budget has brought widening of credit spreads, with European indices giving back gains they have made in recent sessions versus their US counterparts -
Things are looking up... for curve steepener trades: Barclays
3 years ago
Investment grade credit index curves look too flat, say Barclays strategists – and that makes it a compelling time to consider steepener trades in Europe and the US -
Europe's outperformance reverses after Poland attack and inflation numbers
3 years ago
European credit spreads are heading wider, following a strong run, with the UK’s latest inflation reading worse than expected and a missile strike on Poland having raised geopolitical risk on the continent -
Egypt works its Sharm on credit markets
3 years ago
Egypt looks to be reaping the benefits of hosting the Cop 27 climate summit in Sharm el-Sheik, with the country’s credit spreads on a sharp rally this week -
European outperformance creates index options trading mismatch: Barclays
3 years ago
The recent outperformance of European credit over US has shifted the value of iTraxx index options, but CDX index volatility premiums stand out for having hit a new low -
Manager targets €300 million for structured credit fund with CLO/CSO mix
3 years ago
The fund will invest primarily in European CLO equity -
Financials offer relative value opportunities after synthetic credit overshoot: BNP Paribas
3 years ago
A technical squeeze, driven by investor risk appetite but also short covering, has taken some parts of the synthetic credit to a point where cash bonds look to offer better relative value -
China property rescue plan keeps credit on front foot
3 years ago
China’s policy shift on covid rules and measures to prop up its ailing property market have brought a buoyant start to the week, despite financial markets having already rallied sharply last week -
Credit euphoria follows CPI, but analysts warn of comedown
3 years ago
Softer than expected US inflation numbers have ignited a spectacular rally in financial markets. But strategists and economists warn against the exuberance, arguing more pain is likely on the way -
US lags as midterms, dollar and global slowdown weigh against broader rally
3 years ago
European and Asia outperformance over the US is extending at pace at the start of the week, with a strong improvement in spreads coming ahead of the New York market open -
Europe-US convergence in play as week ends on strong rally
3 years ago
A big push tighter in credit spreads on Friday has extended the theme of European outperformance, with iTraxx Crossover briefly trading inside US high yield index counterpart CDX HY for the first time since July -
"Forget the World Cup, the macro-economic catastrophe cup has more well-matched contenders"
3 years ago
Government bonds are rallying in some quarters, but the odds are on more stress feeding into credit -
High yield markets win big in 2022’s love-letter to CDS
3 years ago
Tradeable credit assets have suffered a rough year for liquidity and returns, but credit derivatives are among a small group of products defiantly enjoying a bumper year. -
Soft mood music abruptly dashed as Fed and BoE rile markets
3 years ago
The credit market’s strong run of improvement has come to an end this week, with the US Federal Reserve and Bank of England delivering a reality check to hopes of a more dovish path forward on interest rates -
Fund performance: Wake us up when September ends
3 years ago
After a resurgent August, credit markets hit a rough patch in September, with every Creditflux index posting negative returns, and only 12.9% of funds in our listings showing a positive return. -
Credit hedge fund returns (November 2022)
3 years ago
Credit hedge fund returns -
Credit funds at a glance (November 2022)
A round up of fundraising and people moves in credit3 years ago -
Asia credit rallies sharply but rest of world holds firm ahead of Fed
3 years ago
While most of the global financial market hangs in the balance, Asian credit has undergone a second day of relief rallying having hit the year’s peak on 31 October -
Europe leads broad rally amid speculation on softening rates timeline
3 years ago
After a cautious start to the week, credit markets have rallied ahead of policy decisions by the US Federal Reserve and Bank of England, amid growing investor anticipation of a slowdown in rate hikes as well as hope of a reopening Chinese economy -
Credit faces blind spot as borrowers enter higher default cycle: BNP Paribas
3 years ago
With short term rates outstripping nominal GDP growth, the credit cycle is entering its next and final stage – one in which corporate defaults will pick up but high quality borrowers should outperform
Want all the latest news, comment, analysis and data?
