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Oil supply concerns grease CDS relative value trade
6 years ago
With credit spreads having begun 2020 circling post-crisis tight prints, there is not much room across the market for improvement and plenty of susceptibility to jitters. But at least one CDS index shows scope to narrow further and could form part of a relative value trade -
Rude awakening for credit as US airstrike sends global shockwaves
6 years ago
It only took a day for the positive mood greeting financial markets in 2020 to turn nervous, with credit and equities faltering in early trading today after the US killed a top Iranian military official -
Credit traders enter 2020 a world away from 2019's opening blues
6 years ago
CDS markets are showing what a difference a year makes, with indices beginning 2020 at post-crisis record or near record tights. And concerns such as Brexit or US-China (and lately UK-China) tensions are doing little to dampen the mood in today's buoyant trading session -
MidOcean Credit co-founder leaves to head PE firm's credit expansion
6 years ago
Multi-strategy private equity firm Siguler Guff has poached a co-founder of MidOcean Credit Partners to lead the expansion of its credit platform -
Complacency rules after rally in run-up to UK election
6 years ago
UK credits rallying was a familiar sight for much of November, mainly due to investors cutting their previous short positions ahead of the country’s 12 December election, but dealers reported little appetite to replace long, short or hedging trades going into the final stretch. -
Deep dive trade is on, but single name risks still abound
6 years ago
High yield CDS is reversing its previous underperformance versus investment grade, reflecting an investor shift down the quality spectrum in cash bonds. -
Fund performance: Long-short funds rule in October as CLO funds struggle
6 years ago
A round-up of fund performance -
Ucits at a glance: Ucits continue to chart a steady course
A round-up of ucits fund performance6 years ago -
CLOs at a glance: innovations arrive as year draws to close
A round-up of CLO performance6 years ago -
Goldman Sachs AM explores interval structure for credit fund
6 years ago
Goldman Sachs Asset Management has begun marketing for an interval fund primarily focused on credit investments -
Ucits at a glance: ucits continue to chart a steady course
A round-up of ucits fund performance6 years ago -
No 2020 recession, cyclical bonds will outperform and CLOs won't crash, says BNP Paribas
6 years ago
There will not be a recession in 2020 and investors should stay long credit with the expectation that high yield cyclical and non-financial borrowers will outperform in a bullish market, BNP Paribas strategists have confidently predicted -
Astor and Armory team up for US mid-market credit interval fund
6 years ago
Astor Investment Management has teamed up with Armory Capital to launch a middle-market credit interval fund, according to US regulatory filings -
MSCI makes ESG ratings public for over 2,800 companies
6 years ago
MSCI Research has made ESG ratings of over 2,800 companies publicly available, according to an announcement by the firm, hoping to encourage open discussion between investors and companies and drive greater transparency -
Arizona pension to deploy up to $700 million a year in private credit
6 years ago
Arizona Public Safety Employee System is looking to deploy $600-700 million in private credit strategies per year in order to meet its target allocation, according to board documents seen by Creditflux. -
Azimut hires ex-Dyal official as it aims to buy minority equity in asset managers
6 years ago
Azimut will initially focus on acquiring minority stakes in alternative asset managers with under $3 billion AUM – including private credit, private equity, infrastructure and real estate firms -
Analysts have interpreted the IG credit risk premium in various ways — but the point is to harvest it
6 years ago
Selling CDS protection could be the most effective way of capturing excess premiums in investment grade credit -
Corporate credit performance expected to catch up with financial borrowers as European quantitative easing begins
6 years ago
The return of European Central Bank quantitative easing on 30 October portends a catch up this month of corporate credit performance with other parts of the market, such as financial borrowers, say strategists. -
Over 1,200 sign up to CDS protocol
6 years ago
Plans to improve CDS market integrity have received a boost, with the International Swaps & Derivatives Association drawing a stronger than expected response to its protocol aimed at stamping out narrowly tailored credit events (NTCEs). -
Fund performance
6 years ago
A round-up of fund performance click here. -
BTIG founds European fixed income credit division and adds four traders
6 years ago
The London-based division will be led by Michael Carley, who BTIG hired last year as a fixed income managing director in New York -
Ropes & Gray names leveraged finance partners in New York
6 years ago
Law firm Ropes & Gray has named 16 new partners across its offices – including several credit-related promotions -
Credit traders' kickstand: QE and dispersion sever 'haves' from 'have nots'
6 years ago
The underperformance of European high yield credit has picked up this week, on rising concerns about dispersion in funding access -
Traders face Monday deadline for manufactured credit event protocol
6 years ago
Interested parties have until Monday to sign up to a protocol aimed at stamping out narrowly tailored credit events from the CDS market, with the International Swaps & Derivatives Association having given extensions on the original deadline -
Schroders integrates ESG into corporate revolving credit facility
6 years ago
The firm is the first asset manager to convert its corporate revolving credit facility into an ESG-linked facility, it claims, and will link pricing to three ESG-related key performance indicators
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