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Credit traders' kickstand: synthetic credit leads the way as spreads swoop on dovish wings
6 years ago
Dovish comments by the European Central Bank and US Federal Reserve, along with thin bond issuance, contributed to a pronounced rally this week in credit market. But a nervy week may lie ahead as suspense grows before G20 summit talks between the US and China next Friday and Saturday -
Barclays rehires high yield credit trader from Goldman Sachs
6 years ago
A high yield specialist has become the second credit trader in as many months to rejoin Barclays from Goldman Sachs -
JP Morgan AM names CEO with Willcox set to leave
6 years ago
JP Morgan Asset Management’s chief executive officer Chris Willcox will step down from his job at the end of the year, according to an internal memo seen by Creditflux -
US and European basis trades in play as bonds lag CDS rally
6 years ago
A recent outperformance of CDS indices versus cash bonds has opened up basis trade opportunities on both sides of the Atlantic, say credit strategists -
CDX IG and iTraxx back to level pegging as oil and trade weigh heaviest
6 years ago
Credit markets, along with stocks, enter the week on a flattish tone with focus once again on the next developments between the US and China over trade tariffs. This follows European credit faring better than the US last week as the mood strengthened around Italian and UK risks, say strategists -
US pension replaces Cliffwater with Meketa
7 years ago
Connecticut Retirement Plans and Trust Funds has selected Meketa as a consultant to oversee its opportunistic investments, which consists of direct lending and opportunistic credit investments, along with investments in hedge funds and real assets. -
Loomis Sayles puts together Asia bond fund
7 years ago
Loomis Sayles has added to its credit offering with the launch of its new Asia Bond Plus strategy -
Nikko AM garners €144 million for TLAC bond fund
7 years ago
The global total loss-absorbing capacity (TLAC) bond fund will “provide active investors the opportunity to earn a strong premium” -
Trump tariffs and oil slip dent Europe vs US credit decompression trades
7 years ago
Underperformance of US credit derivative indices at the end of last week has created a trading entry point for those still convinced that Europe has more problems. But bearish factors continue to coalesce on both sides of the Atlantic -
Credit traders' kickstand: nervous equilibrium gives way to weakness as earnings and tariffs weigh
7 years ago
Healthy fund inflows, European and US holidays, and a thinning primary market helped sustain credit spreads this week, but a weaker turn today shows this is a fragile equilibrium and company earnings misses are starting to be punished more severely -
A round-up of fundraising and people moves in credit7 years ago
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A round-up of fund performance7 years ago
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Credit traders' kickstand: grave times for UK banks and corps as May goes away
7 years ago
UK banks have been among the main underperformers in credit this week, with market sources noting that today’s notice of Prime Minister Theresa May’s intention to resign on 7 June increases the likelihood of a no-deal Brexit. And UK 'zombie' companies appear to be forming a herd -
Credit traders' kickstand: widening catalysts gather force with focus on financials
7 years ago
Credit markets are once again ending the week on a negative tone, having regained some posture over previous sessions following last week’s tariff-driven sell-off. Credit index spreads appear inclined to trade within a range, but potential catalysts for that range to shift wider outweigh any obvious reasons to return to the tight prints of last month -
Credit traders' kickstand: Trump gives Europe the ghoulies as single B spectres haunt CLOs
7 years ago
Trade tariff terrors and things that go triple C rated in the night are top of the list of items spooking credit market sentiment at the end of this week -
Ice seeks consensus with credit risk analytics service
7 years ago
Intercontinental Exchange (Ice) has launched ICE Credit Risk, a suite of analytics it will provide in collaboration with financial risk assessment company Credit Benchmark -
High yield bonds regain lost ground
The US high yield bond market experienced its biggest quarter since Q4 2017, with volumes and returns rising as borrowers plumped for secured bonds and the Fed turned dovish on rates7 years ago -
Investors back multi-asset funds for high yield gains
7 years ago
Multi-asset funds that include credit have become popular among institutional investors. -
Fund performance
7 years ago
A round-up of fund performance -
Credit Suisse adds special situations trading head among raft of hires
7 years ago
Credit Suisse has continued to build momentum in its credit business with the hire of a managing director to head special situations and loan trading with its Europe, Middle East and Africa credit products business, following on from nine others across its London and New York credit business -
US pension fund to commit $1.1 billion in private credit by 2020
7 years ago
Investment consultant NEPC has recommended that Arizona Public Safety Personnel Retirement System (PSPRS) commit $550 million in private credit in both 2019 and 2020, according to a private credit review -
Merian drops Janus Henderson from bond fund previously managed by Bill Gross
7 years ago
Merian Global Investors has taken management of Merian Total Return USD Bond Fund in-house -
16% of insurers plan CLO allocation increase, survey finds
7 years ago
Goldman Sachs Asset Management has released its annual insurance asset management survey -
Carmignac adds global credit Ucits strategy to its range
7 years ago
The fund will be co-managed by Carignac’s head of credit Pierre Verlé and fixed income fund manager Alexandre Deneuville -
Moving on from the late 2018 hangover
7 years ago
It might be too early to call a full recovery, but it’s fair to say that the US loan market is back on track with $48 billion of institutional issuance in 2019 — 88% of which is made up of new issues
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