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Credit Rendezvous: the outlook in 2020 across a dozen segments of the credit market
5 years ago
Welcome to the Credit Rendezvous, the first instalment of a regular feature published by Creditflux that tracks credit market dynamics in a dozen segments from investment grade, liquid loans, CLOs and CSOs all the way through to distressed debt. We view this as the meeting point for credit specialists across strategies to share their perspectives -
Schroders scheme allocates £800 million to credit and liability investments
5 years ago
The Schroders Retirement Benefits Scheme has invested £800 million of its defined benefit assets to the organisation’s cash flow driven investing building blocks -
Correlation rise stokes mezz rally but adds to CSO woes
5 years ago
Below the calm surface of the credit market, correlation has been churning and creating dislocations rich with reward for index tranche traders but complicating bespoke issuance, say sources. -
Fund performance: Presents under the tree as CLO funds perform
A round-up of fund performance5 years ago -
A round-up of fundraising and people moves in credit
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BTIG hires strategist to cover US and European financials
5 years ago
Nandana Shenoy has joined BTIG in New York to work as a strategist covering US and European financials, according to an announcement by the brokerage -
Italian financials put Europe's best foot forward as US outperforms
5 years ago
Financial credits are once again leading the way as the market continues this week’s sharp return rally -
Credit traders' kickstand: full reversal for Crossover as coronavirus spreads
5 years ago
European high yield CDS index iTraxx Crossver is ending the week back at around 230bp, in effect undoing all its improvement since the start of December -
Skew trading discord as single name CDS snub index rally
5 years ago
The credit market’s reappraisal of risk today, following from Monday’s widening on coronavirus fears, comes with a marked dislocation between the performance of CDS indices and their underlying constituents -
European financials outperform corporates as coronavirus spreads
5 years ago
Financial CDS is outperforming corporate credit today, and Europe outperforming the US, as the market jumps wider on rising alarm at the spread of China’s novel coronavirus -
Portfolio managers wary of US default rates, IACPM survey reveals
5 years ago
Portfolio managers are more pessimistic about North American corporate defaults in the next 12 months than other global regions, according to the latest survey by the International Association of Credit Portfolio Managers -
Pimco launches listed multi-sector global credit fund
5 years ago
Known as Pimco Tactical Income Fund, the fund will invest in a range of global credit strategies and will list on the New York Stock Exchange -
Credit traders’ kickstand: primary market flood gives basis for relative value
5 years ago
A deluge of investment grade bond supply in the first two weeks of the year has weighed on the spread basis between the cash market and CDS, leaving opportunities for traders who believe this dislocation should correct over the coming weeks -
Credit traders' kickstand: convergence trades rewarded as financials outperform
5 years ago
Compression is the watchword in credit at the start of the year, with the market’s navigation of post-crisis tight prints bringing an outperformance of financial names over corporate borrowers and US over European indices -
This is not just wider: M&S stands apart as CDS picks new tights
5 years ago
As credit spreads head back into post-crisis record tight territory amid a softening of tone between the US and Iran, retailer Marks & Spencer is bucking the rally having issued a profit warning today -
Oil supply concerns grease CDS relative value trade
5 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
5 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
5 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 -
Deep dive trade is on, but single name risks still abound
5 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
5 years ago
A round-up of fund performance -
CLOs at a glance: innovations arrive as year draws to close
A round-up of CLO performance5 years ago -
MSCI makes ESG ratings public for over 2,800 companies
5 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
5 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
5 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
5 years ago
Selling CDS protection could be the most effective way of capturing excess premiums in investment grade credit
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