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Ucits at a glance: Loomis Sayles makes gains in sleepy July
4 years ago
Ucits fund returns -
Rising stars vie with swooping hawks as Fed deliberates
4 years ago
Rising star companies moving from high yield to investment grade could be a valuable source of returns for credit investors in coming months, say sources -
Reversal brings Chinese outperformance in credit
4 years ago
Credit market improvement hit an impasse in most jurisdictions during August, with range-trading in Europe, the US and much of emerging markets. But Asian credit, and Chinese markets in particular, enjoyed a strong run. -
US spreads narrow gap with Europe as credit hits new record tights
4 years ago
Corporate credit spreads are exploring new tights for the year, with Europe taking its turn to grind inwards once again today after strong sessions in Asia earlier and the US on Tuesday -
Crossover names drive rally on strong earnings as European traders return
4 years ago
Several high yield borrowers have made strong improvements on Tuesday as the post-Jackson Hole credit market rally has extended from Friday, with European traders returning after their long weekend -
Retailer jumps on PE rumours while markets stay rooted in Jackson Hole
4 years ago
UK supermarket retailer Sainsbury's has been a notable mover in credit this week, as the wider market waits tentatively on Friday's Jackson Hole movement in the US and fund outflows signal nervousness about US Federal Reserve policy and escalating turmoil in Afghanistan -
Chinese credit makes gains as Europe and US slump on Fed taper fears
4 years ago
Chinese credit spreads on Thursday depicted an island of optimism as global credit and stocks - including its own - slumped against a mounting confluence of concerns -
Bank's macro credit trading head lands buy-side job at Citadel
4 years ago
An experienced credit trader at a large US bank has taken on his first buy-side role -
Travel co among underperformers as credit gives up gains
4 years ago
European credit is softening away from its recent tights in what is shaping up to be a fourth week of range-bound trading, with credit strategists identifying valuations as a key obstacle to improvement at the index level -
Lingering covid vies with inflation as top credit threat, finds BofA
4 years ago
Covid-19 lingering is catching up with inflation as credit investors' number one worry, Bank of America's August survey has found. The picture for central bank purchases is bullish, but strategists see industrial and bank senior bonds as shorts for contrarians over the summer -
Millennium senior tranche trader jumps to Verition
4 years ago
An experienced synthetic structured credit trader has left Millennium Management in New York to join Greenwich headquartered Verition Fund Management -
High yield real estate firm pushes tighter on ratings boost
4 years ago
Adler Real Estate credit spreads are driving ever tighter, with positive signals from rating agency S&P adding to the company’s strong bull run, despite softening in the wider high yield market -
German real estate firm on bull run as rest of high yield treads water
4 years ago
Adler Real Estate has extended its spread tightening run on Monday morning, making it one of the biggest improvers of the past week in an otherwise flattish high yield credit market -
Goldman builds out exotics strategy amid tranche market high
4 years ago
The index tranche market is gaining support, with Goldman Sachs adding to those building up their presence, officials at the bank confirm -
Broadening SRT market defies spread compression
4 years ago
Credit spreads are close to all time tights — high yield, courtesy of CDX HY, recently hit its tightest level since January 2007 — but the significant risk transfer (SRT) market is one of the few pockets of credit where pricing is wide of pre-covid levels -
China teaches tough lessons to foreign investors
China’s regulatory crackdown on some of its fastest-growing industries created shockwaves that have reverberated widely, dragging on US and European credit at the end of July.4 years ago -
Coronavirus delta dilemma puts reflation trades into reverse
4 years ago
Concern over the covid-19 delta variant dented investor optimism in July and looks set to hold back credit spread improvement in August, as focus turns to rising cases in the US and Germany -
Fund performance: long-short funds challenge CLO strategies
4 years ago
CLO funds are maintaining their stranglehold on our top 10, but long-short credit funds are giving them a run for their money -
Credit hedge funds (August 2021)
4 years ago
Credit hedge fund returns -
Ucits at a glance: mid market fund leaps into top four
4 years ago
The majority of Ucits funds end Q2 on a high note as 76% of those in our database recorded positive performance in June -
US plays catch up with Europe as spreads reconverge
4 years ago
There has been a slight softening of European credit on Tuesday, even as stocks hold onto their record highs and US credit spreads take their chance to close the gap after recent underperformance -
Rising stars will fuel double B boom, says BofA
4 years ago
A rising star cycle is underway and adds to a bullish outlook for double B credits with company results pointing to an ‘epic V-shaped recovery’ in high yield revenues and earnings, say Bank of America credit strategists -
"China can act how it wants and when it wants in curbing the ambitions of tech firms… but sell offs tend to be opportunities for new buyer
4 years ago
China's latest moves to rein in private enterprise with new rules for education providers have certainly intensified the regulation risk landscape - but Welshcake asks whether this forthrightness could be instructive -
Triple Bs gain momentum as IG buyers pick best spots
4 years ago
The absolute tightness of credit spreads has led many to lament their chances of delivering strong returns in 2021, while stressing the need to move down either the quality or duration curve. But even within investment grade, European and US managers are still finding pockets of value -
Publishing boost for French firm but China sours wider market
4 years ago
Lagardere is a notable positive outlier in another off day for the credit market, after China turmoil rocked stocks and sent spreads wider
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