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Credit fundraising: Dubai manager gets in on the act as direct lending takes off
4 years ago
Shuaa launches credit fund in the Gulf as Ares, Contingency, HPS and Perceptive are among those to close billion-plus funds -
Squarepoint adds former bank credit trading head in London
4 years ago
Squarepoint Capital, a cross-asset fund manager that uses systematic and quantitative strategies, has hired a former global credit trading head at Societe Generale to lead fixed income, currencies and commodities alpha capture -
Green credit advocate launches research body
4 years ago
Stockholm-based portfolio manager and green credit advocate Ulf Erlandsson has today announced the launch of research body Anthropocene Fixed Income Institute (AFII) -
LP round up: managers keep fundraising hopes high as GSO targets $7.5 billion for mezz offering
4 years ago
Institutional investors allocated $1.6 billion into credit this week, according to documents seen by Creditflux -
Natixis's Ostrum and La Banque Postale AM merge to create €415 billion firm
4 years ago
Natixis has agreed to merge its Ostrum fixed income asset management arm with La Banque Postale's insurance-related asset management business -
LP round-up: mighty Oaks win $1 billion apiece from Calpers
5 years ago
Credit investors allocated over $3 billion to 18 credit managers this week across a wide range of strategies -
HPS hires from sports and entertainment financier in Los Angeles
5 years ago
HPS Investment Partners has appointed two managing directors from 23 Capital to the firm's Los Angeles office -
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. -
Lord Abbett preps floating rate interval fund with monthly share repurchase
5 years ago
Lord Abbett Enhanced Floating Rate Fund will invest at least 80% of its assets in floating rate products including senior secured or unsecured loans, second lien debt and floating rate structured credit including CLOs -
Loomis Sayles loses out as US pension shifts to higher-quality credit
5 years ago
Dallas Police and Fire Pension System is liquidating a loan portfolio managed by Loomis Sayles, as it reallocates assets away from high yield towards investment grade -
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 -
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 -
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 -
Diverging views emerge over performance of ESG investing, RBC survey reveals
5 years ago
Investors which incorporate ESG principles are convinced it adds value, but those who do not are more uncertain, according to a survey by RBC Global Asset Management -
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) -
EQT looks to raise €500 million via IPO
5 years ago
The initial public offering is anticipated to increase EQT's flexbility to “pursue growth opportunities” and expand its private market investing business -
Connecticut $36 billion pension hires first chief risk officer
5 years ago
The Connecticut Retirement Plans and Trust Funds has hired its first-ever chief risk officer -
Ontario pension selects new president and CEO
Ontario Teachers’ Pension Plan has appointed Jo Taylor as its new president and chief executive officer, effective 1 January
5 years ago -
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 -
Sun Life merges asset management business to create $159 billion division
6 years ago
Sun Life will merge its fixed income businesses - including Prime Advisors, Ryan Labs and Sun Life Institutional Investors - under a new umbrella named SLC Management -
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
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