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Credit traders’ kickstand: a year comes undone in a week as world faces coronavirus moment of truth
5 years ago
As the coronavirus outbreak reaches a 'decisive point', according to the World Health Organisation, one of most volatile weeks in recent memory has hauled credit spreads from their post-financial crisis tights to much wider levels last seen in the first half of 2019 and, in the case of emerging markets, more than a year ago. -
Axa terminates $14 billion fixed income mandate with AB as it takes assets in-house
5 years ago
Axa has terminated a $14 billion taxable-fixed income investment mandate with AB -
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: 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 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 -
Reality bites after credit traders abandon Brexit hedges
5 years ago
Rediscovered faith in the ability of the UK and European Union to reach an agreement before the 31 October Brexit deadline has helped fuel a surge tighter of credit spreads, led by UK financial names. But that break with caution faces an immediate reality check today, following admissions a lot more work is needed -
Esma publishes final guidelines for alternative and Ucits fund liquidity stress-test
5 years ago
Fund managers have just over a year to comply with liquidity stress test final guidelines published yesterday by the European Securities and Markets Authority (Esma) for alternative investment funds (AIFs) and undertakings for the collective investment in transferable securities (Ucits) -
Tranche trading is back: relative value plays power growth
5 years ago
Synthetic bespoke and index tranche markets are shifting through the gears and accelerating, say investors, as an increasing prevalence of relative value trading strategies evoke dreams of the products returning to pre-financial crisis glory. -
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 -
Border to Coast pension seeks exposure to UK investment grade credit
6 years ago
Border to Coast Pensions Partnership is set to begin a manager selection process, seeking UK investment grade credit and global multi-asset credit funds -
New manager Resco lands ex-credit head to found advisory board
6 years ago
Resco Asset Management, a London based asset manager set up last year, has appointed the first of an anticipated three advisory board members -
Illiquid credit boost returns for PensionDanmark
6 years ago
PensionDanmark has generated 5.8% returns from its illiquid credit portfolio for the year 2018, according to its latest annual report published today. But its liquid credit portfolio took a 3.4% hit -
UK pension looks to take investment grade strategy global
6 years ago
UK pension fund National Employment Savings Trust (Nest) has issued a search for a global investment grade corporate bond manager -
Credit spread improvement is calm before the storm, warn strategists
6 years ago
European and US credit markets have begun 2019 with a more buoyant tone than they ended 2018, but strategists warn that bearish factors still outweigh and suggest the overall direction of spreads this year is likely to be wider -
Robeco looks to align macro fixed income with credit as it makes senior hire
6 years ago
Robeco has hired Jamie Stuttard as co-head of the global fixed income macro team and fixed income strategist -
Muzinich poaches Neuberger Berman MD for top fund distribution role
6 years ago
Muzinich has hired a global head of distribution, according to an announcement today, picking up the role previously held by Joshua Hughes, who left for CIFC Asset Management in May -
Cash-CDS basis set for comeback after "falling knife" mishap, predicts BNP Paribas
6 years ago
The beginning of 2019 should revive interest among credit investors to trade the basis between cash bonds and credit default swaps, according to BNP Paribas strategists – following what they term “falling knife” dynamics in this year’s fourth quarter -
Neuberger Berman unveils three European fixed income funds
6 years ago
The three new European fixed income portfolios will be managed by Patrick Barbe and his six-strong team, who all recently joined from BNP Paribas -
Credit sell-off has room to run and pricing is out of whack, says BNP Paribas
6 years ago
The credit market sell-off could have further to go despite recent widening and is “in the process of a late-stage business cycle unwind”, according to a strategist note seen by Creditflux -
European CDS index tightens inside US even as bonds languish
6 years ago
Credit derivatives markets have hit a key point of trend reversal this week, with the iTraxx Europe five-year CDS index trading inside its US counterpart CDX IG for the first time since May -
Pimco launches latest ESG-focused credit offering
6 years ago
Pimco has launched its latest environmental, social and governance (ESG) fixed income offering - GIS Global Investment Grade Credit ESG Fund. -
BlackRock becomes latest manager to explore interval fund structure for credit
6 years ago
Several managers have hit the market with the interval fund structure, as investors look to invest in illiquid strategies through an illiquid fund structure -
Orchard hires former UBS credit index options and tranches global head
6 years ago
Orchard Global Asset Management has hired an ex-UBS senior correlation trader as a portfolio manager in London -
Wells Fargo AM chief Norris to retire
6 years ago
Wells Fargo Asset Management's Anthony Norris - managing director, chief investment officer and senior portfolio manager - is set to retire from the fund management industry in October -
Private debt tops the tables for Industriens Pensionsforsikring
6 years ago
Industriens Pensionsforsikring, the DKK164.5 billion ($25.7 billion) pension scheme, generated a 1.6% return from its private debt portfolio, according to its mid-year 2018 results
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