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Position cutting tames market rally and strategists warn on primary impact
3 years ago
Caution is the watchword across financial markets on Tuesday, with the strong recent run giving way to hedging and position cutting ahead of a much-anticipated US inflation reading on Wednesday -
IG payers provide best tail-risk hedges: Barclays
3 years ago
Investors seeking the cheapest tail risk hedge should look to CDX IG payers, while iTraxx Europe payers are the best hedge against further European underperformance, finds Barclays -
Lazard targets IG, crossover and HY in long/short credit ucits fund
3 years ago
Lazard Asset Management has unveiled a new credit ucits fund that will invest primarily in investment grade, crossover and high yield bonds in Europe and North America -
Deutsche Bank adds credit trading head to US build out
4 years ago
Deutsche Bank is looking at the next phase of its US development with the hire of a credit trading head from another bank -
Former JP Morgan credit correlation head launches $200 million fund
5 years ago
The former head of credit correlation trading at JP Morgan has launched a global credit fund management business with $200 million of assets, according to market sources -
Chesapeake default takes CDS auctions to eight-year high
5 years ago
Chesapeake Energy has been confirmed as the latest CDX HY index constituent to require settlement at auction, after the Americas Determinations Committee ruled it has triggered a bankruptcy credit event -
Chesapeake bankruptcy points to hit for CDS and loan holders
5 years ago
Chesapeake Energy looks set to become the latest in a string of defaults to hit US high yield index CDX HY, after the Oklahoma City headquartered shale producer filed for chapter 11 protection -
Credit traders' kickstand: rolling with the pain, as relative value trades come unstuck
5 years ago
What a difference a month - and a pandemic - make. This time in February, no-one could have imagined a global financial crisis would be unfolding, that credit performance would be a battle between a virus and some of the biggest government and central bank interventions on record, that today's iTraxx Europe and CDX index rolls would traverse unprecedented ranges, that option expiry strikes would be blown beyond recognition, or that cash and CDS differentials would be whipsawing with such violence -
CDS index rolls to proceed on time despite record volatility and lockdowns
5 years ago
This Friday's move into new CDS index series will go ahead as scheduled, administrator IHS Markit has said, having sought advice on whether to postpone the roll date due to coronavirus-led market volatility -
Credit traders’ kickstand: roll nightmares haunt CDS market as indices whiplash
It’s Friday 13th, but CDS traders will be hoping the worst of the horror shows are behind them as they try to regather their shredded nerves in time for next week’s biannual index rolls -
Curve inversion for airlines and freight as Trump travel ban sparks sell-off
5 years ago
Airlines, travel firms and shipping companies are among some of the credits hit hardest by US president Donald Trump’s imposition of a ban on travel from mainland Europe, a move that sent the iTraxx Crossover index back to its widest level since October 2012 -
Credit breakdown as one-day volatility outstrips financial crisis
5 years ago
Credit default swap markets have surpassed the record one-day volatility of the global financial crisis, with indices surging to new wide prints as the spiralling impact of the coronavirus outbreak brings government lockdowns on travel while wreaking havoc on oil prices and supply chains -
Franklin Templeton reorganises long-short credit fund team
6 years ago
Asset manager Franklin Templeton Investments will make changes to the portfolio managers for the Franklin K2 Long Short Credit funds, effective from October -
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 -
Man Numeric launches credit platform and appoints co-heads of credit
6 years ago
Man Numeric, the quantitative investment business of Man Group, has launched a new credit unit and appointed two officials to lead the business -
AB names fixed income co-heads and replaces Ashish Shah on two funds
7 years ago
Following the departure of Ashish Shah, who was AB's head of fixed income and chief investment officer, Will Smith has been appointed co-manager on two bond funds. Meanwhile, the firm has named two co-heads of fixed income -
Investing ethically is worth it
8 years ago
Managers could see less volatile returns as a result of their increasing adoption of ESG-friendly portfolios; meanwhile direct lending is spreading across Europe -
Past returns
8 years ago
We wind back the clock to the last time investors were hedging French credit ahead of an election and to when one of the best known CLO investors filed an IPO
18 results found Showing page 1 of 1
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