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BofA revises Euro CLO new issuance forecasts downwards
3 years ago
Bank of America CLO strategists have cut their base case forecasts for European CLO volume in 2022 to €22.6 billion for new issues and €10 billion for refi/resets, citing slower economic growth and higher tail risks. But further market disruption could take new issuance down to €16.5 billion, they warned -
High yield / loan slowdown affects year-end projections and pricing: Barclays
3 years ago
A sharp decline in primary market activity means expectations for high yield bond and even leveraged loan issuance need to be lowered, say Barclays credit strategists. And that in turn has implications for relative value -
CLOs look attractive after corporate rally - but not all tranches: Barclays
3 years ago
Rallying corporate cash credit spreads over the past two weeks have widened the basis with CLOs and made these products look attractive again, according to Barclays strategists -
Hidden loan tail risks and mounting single B exposure could pose problem for CLOs: Barclays
3 years ago
A solid rally for leveraged loans this week - against returning weakness in bonds - has put focus back on the market, which seemingly has little tail risk priced in. But short term support factors and a dwindling triple C bucket mask the quality skew, warn Barclays strategists in a note today - which could spell downgrades for single-B minus rated loans -
European CLOs well-placed to counter volatility: Fitch
3 years ago
High inflation could hamper borrowers, but European CLOs are in decent shape with most loan issuers having refinanced last year, according to a report by Fitch Ratings. Other parts of structured credit are not as well insulated against risks. -
CLO mezz investors are homing in on documentation: Morgan Stanley
3 years ago
European CLO mezzanine investors paid close attention to documentation over the past 12 months, with junior overcollateralisation test criteria, weighted average life extesions and approval for collateral quality key areas of focus, say Morgan Stanley strategists -
CLO equity could get hurt by mismatch in credit spread adjustments: Barclays
3 years ago
The possibility that borrowers and sponsors start to use their clout to scrap credit spread adjustments from leveraged loans poses a risk for new CLO equity, while legacy deals also face transition challenges -
Impact of Russia-Ukraine war on Euro CLOs will be indirect, finds BofA
3 years ago
European companies largely do not have much direct exposure to Russia or Ukraine, but pricing and inflationary pressures may impact companies -
CLO investor cash balances at lowest levels since 2009: JP Morgan research
3 years ago
A survey conducted by JP Morgan has suggested that CLO investors' cash balances are at their lowest levels since 2009 - but most managers want to add risk in the coming months -
CLO lower cap stack will outperform with $175bn new issuance in 2022: JP Morgan
3 years ago
Equity and lower rated tranche investors will do best as $175 billion of global new CLO issuance arrives in 2022, predict JP Morgan strategists in their annual outlook, taking market size to $1.2 trillion -
Loans will be winners in bearish year for credit: BNP Paribas
3 years ago
Floating rate loans are best positioned for a year of widening credit spreads, but high yield bonds will outperform investment grade and EM credit is set for losses, says BNP Paribas in its 2022 outlook -
CB bond purchase 'greening' is game changer for credit: BofA
3 years ago
Confirmation by the Bank of England that its corporate bond purchase scheme will be ‘greened’ is a game changing moment for credit markets, say Bank of America strategists -
Sofr transition timing puts CLO debt and equity at odds, says BNP Paribas
3 years ago
CLO investors look to have tough conversations ahead on the structure implications of the transition from Libor to Sofr, with BNP Paribas strategists noting CLO debt will benefit from an early move while equity tranches would do better to wait -
CLO demand to drive loan outperformance over bonds: BNP Paribas
4 years ago
The buying power of CLOs and funds could mean leveraged loans rally further and outpace high yield bonds, says BNP Paribas' credit research team -
ESG drive poses little threat to CLO returns or flexibility, says Moody's
4 years ago
Environmental, social and governance investment criteria are not impairing CLOs either in flexibility or performance, Moody's Investors Service has found in a new report -
CLO investors still hungry for triple As and double Bs, says JP Morgan
4 years ago
Most CLO investors are looking to add risk through deals in the months ahead, with very few inclined to reduce exposure, a JP Morgan survey has found - despite the historic flood of issuance in the first quarter of this year -
CLO equity ‘top trade’ could reach mid-teens returns, says JP Morgan
4 years ago
CLOs’ strong start to the year, in which the asset class has asset class has made gains against a sell off in government and corporate bonds, has put equity tranches on course for double digit returns in 2021, according to JP Morgan strategists -
UN PRI's upcoming report on ESG in CLOs finds bar is very low
4 years ago
In a preview of the upcoming report, Carmen Nuzzo, head of fixed income at UN Principles for Responsible Investment, reveals to Creditflux key highlights from its ESG in securitisation report -
BofA forecasts record European CLO volume in 2021 as another reset prices
4 years ago
Carlyle Group has become the first manager in March to reset a European CLO, while BofA estimates the European CLO market might break a new record in 2021 -
ESG growth in CLOs has momentum in 2021, say JPM strategists
4 years ago
ESG investing in securitised products such as CLOs have 'momentum for growth in 2021' despite very slow volume growth and lack of progress in standardised scoring over the past year, say JP Morgan strategists in a research note -
Buy CLO equity to capitalise on reflation, says JP Morgan
4 years ago
CLO equity stands out in a tightly priced market as offering up to double digit yields, say JP Morgan structured credit strategists, who posit it as their top trade -
European CLO portfolio overlap increases by 3%: S&P
5 years ago
European CLO portfolio overlap for new issue deals since mid-March has increased to 37.73%, according to a recent report by S&P, around 3% higher than the average of 36% for all European CLOs rated by S&P -
Barclays increases European loan and CLO issuance forecasts
5 years ago
Barclays has increased its European leveraged loans issuance expectations due to “better than expected recovery in issuance from M&A and LBO activity”, while its European CLO 2020 issuance forecast increased to €15 billion-€18 billion, up from a previous estimate of €12-15 billion -
Go for short-duration and high-end CLO paper, says JP Morgan
5 years ago
This year is shaping up to be nearly as weak for CLO new issuance as 2008, according to JP Morgan strategists, who recommend investors seek value in short duration double/triple A paper or in higher-tier triple/double B -
CLO and distressed fund recovery disparity could grow, say Barclays
5 years ago
CLO investors should apply a haircut to the $55-60 loan recovery range to better estimate recoveries in CLO models, as the disparity between how distressed debt funds and CLOs extract value in a loan restructuring is expected to widen
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