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Credit optimism returns on Evergrande and Fed but big questions loom large
3 years ago
Credit markets have moved onto a firmer footing, with one day of this week’s US Federal Reserve meeting out of way and troubled Chinese real estate behemoth Evergrande having negotiated a domestic yuan bond payment. But there is plenty of room for upset in the coming sessions -
Dealers tweak IG roll changes but rising star HY names still don't make cut
3 years ago
Dealers have revised their list of provisional changes to the CDX IG investment grade index ahead of its roll to a new series next week, with administrator IHS Markit citing recent trading activity as reason for the move -
Credit shrugs off ECB tapering signal, but strategists warn of IG vulnerability
Credit markets are ending the week on a firm footing after taking in their stride the European Central Bank’s message that it expects to limit asset purchases in the coming quarter. But some parts of the market look more vulnerable than others, say strategists -
UK retailers get frosty reception after price hike warning
3 years ago
UK retailers face spread widening pressure on Tuesday against an otherwise flattish backdrop, as supply chain issues stack up prompting concerns of winter stock shortages and higher prices for goods -
Rally resumes as investors read US job miss as tapering delay
3 years ago
Credit and equity markets have opted to rally - albeit far from emphatically - after digesting the import of the US missing its August monthly news jobs target by a big margin, which could bring a setback for hawkish central bank voices -
High yield compression has one last push after real yields turn negative, says BofA
3 years ago
With real yields for European high yield bonds having turned negative, Bank of America credit strategists see "one last hurrah" for spread compression trades -
Rising stars vie with swooping hawks as Fed deliberates
3 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 -
Crossover names drive rally on strong earnings as European traders return
3 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
3 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
3 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 -
Travel co among underperformers as credit gives up gains
3 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 -
High yield real estate firm pushes tighter on ratings boost
3 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
3 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 -
US plays catch up with Europe as spreads reconverge
3 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
3 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 -
Publishing boost for French firm but China sours wider market
3 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 -
Credit Rendezvous: And breathe...
3 years ago
The unanimous verdict is that credit spreads will be moving wider – they have to. But the difficulty credit fund managers face is predicting when the next sell-off comes and how sharp it will be. In the Q3 instalment of Creditflux’s Credit Rendezvous, the over-riding message from portfolio managers is that there’s little point in taking on too much risk. The report features the views of prominent credit figures including Paul Horvath (Orchard), Himani Trivedi (Nuveen), Ronnie Jaber (Onex), Graham Rainbow (Alcentra) and Michelle Russell-Dowe (Schroders). The report looks at 14 segments of the market including CLOs, direct lending, leveraged loans, distressed debt and credit derivatives. -
Credit grind pushes back volatility bets
3 years ago
With recent weeks having all-but crushed volatility from the market, uncertainty about the timing of future risk triggers is leading credit options traders to spurn traditional horizons to focus on longer-dated expiries -
Credit slumbers in departure lounge as airline equities take off
3 years ago
Credit and equity markets have been in a balancing act on Tuesday between the positive and negative implications of surging oil prices and Germany opting to relax travel restrictions -
Chicken supplier takes courage from earnings improvement
4 years ago
Boparan, one of the riskiest companies in the European high yield credit market, is among the biggest movers in bonds and CDS on Wednesday, as the market resumes its rally to the tightest prints of the year -
Triple Bs in the firing line as Fed turns hawkish, says BofA
4 years ago
Triple B and long duration credit are likely to be casualties of tightening central bank policy, Bank of America strategists have warned. But high yield and cyclical investment grade sectors could fare better -
Credit grind makes it five days out of five in bullish week
4 years ago
Credit markets are heading into the weekend on a fifth straight day of improving spreads, amid signs of returning economic confidence and appetite to invest in the asset class -
French equipment rental firm gets big lift on Q1 results
4 years ago
Loxam, one of the widest trading names in the iTraxx Crossover universe, is leading index constituent tighteners on Wednesday after posting first quarter results showing improvement in revenue and ebidta -
Financials and high yield outperform as rally gathers momentum
4 years ago
Credit spreads are enjoying a second day of improvement to regain some of the ground they lost last week, with Italian banks, commodity traders and higher yielding borrowers among outperformers in a broad rally of both indices and single name borrowers -
Saipem moves sharply on Mozambique moans
4 years ago
Saipem, the Italian energy engineering group, was a big underperformer in a flattish credit market on Wednesday, as uncertainty over a project in Mozambique weighed on first quarter results and its outlook for the year
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