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Investors look to US response after Putin lights touch paper on Ukraine intervention
3 years ago
Credit investors are left facing a what-happens-next moment after Vladimir Putin recognised the Donetsk and Luhansk regions of Ukraine as independent states, paving the way for Russian forces to intervene. In response the US has moved swiftly to impose new sanctions targeting the two regions -
French co rattles investors on micro level as Russia overclouds macro
3 years ago
After a cautious opening, investors in the European credit market have resumed hedging as western leaders continue to talk up the prospect of Russia invading Ukraine and the Kremlin has dismissed hopes of a Biden-Putin summit as premature -
French airline flies against flock on pandemic repayment plans
3 years ago
Air France is a standout improver on Thursday against a backdrop of broad deterioration in single name credit spreads -
Europe drives relief rally after Russia signals troop withdrawal
3 years ago
European financial market volatility has brought another reversal of relative value dynamics versus the US, with Russia/Ukraine developments extending their sway -
Credit and equity fund flows diverge ahead of Fed emergency meeting
3 years ago
Outflows from credit have extended into another week, even as stocks returned to inflows, as speculation mounted the US Federal Reserve could opt for a 50bp hike in March or even an earlier than anticipated hike at an emergency meeting next week -
Credit unprepared as Russia and Ukraine spreads go on march
3 years ago
Huge moves in Russian and Ukrainian credit spreads have exposed the growing mismatch between assessments of a likely conflict between the two countries, and the neglect of investors to price in its impact on broader markets -
Financial-corporate compression in play as relief rally extends
3 years ago
Credit markets are experiencing a second day of improvement, with financials outperforming corporate borrowers in the investment grade arena -
Eerie calm breaks as bears return to feast
3 years ago
After what looked a calmer and even buoyant start, credit markets have again pushed wider on Monday as investors wrestle with competing view on outlook for central bank policy -
Heavy market rout takes credit back to November 2020 levels
3 years ago
High volatility is gripping financial markets at the end of a week that has been decisively bearish for credit spreads, as concerns about the end of central bank stimulus and warnings of a Russian invasion of Ukraine next month layer on pain for investors -
Travel, tech and financials give market boost ahead of Fed second day
3 years ago
Credit and equity markets are back in tandem with a sizeable rally ahead of Wednesday's closely watched US Federal Reserve meeting, following a volatile start to the week -
Financials move first as bearish trading resumes ahead of Fed meeting
3 years ago
The bearish tone in financial markets has spilled over into another week with cautious positioning ahead of the US Federal Reserve meeting, weakness in tech stocks, financial credits underperforming and growing trepidation about the possibility of Russian intervention in Ukraine -
See what's next: Netflix gives whole market a chill
3 years ago
Financial markets look set to end the week once again on a bearish trajectory, with fears over consumer confidence and company earnings helping take credit spreads back to their widest levels since the start of December -
Credit makes comeback despite oil and treasury yields hitting new highs
3 years ago
The bearish mood that has gripped trading sessions over the past week appears to be easing slightly, with US and European credit indices picking up after a strong rally in Asia -
Ukraine and Russia volatility steps up amid political trial and conflict fears
3 years ago
Ukrainian and Russian spreads are among the market's biggest movers at the start of the week, as developing tensions between the two countries ramp up another notch and former Ukrainian president Petro Poroshenko has arrived in Kyiv to face treason charges -
Caution returns to credit trading following tech sector rout
3 years ago
After a strong Tuesday session, financial markets are taking a more cautious step back on Wednesday amid returning inflation concerns and following a weak session for Chinese tech stocks -
Aoyuan credit event does not require auction settlement: DC
3 years ago
No auction is required to settle CDS contracts referencing China Aoyuan, the Determinations Committee has decided – despite the property developer having triggered a credit event -
US leads charge in strong relief rally
3 years ago
Credit markets have entered a relief rally on rising optimism the omicron covid variant will not prove as severe as had been feared -
European high yield recovers ground on US as vaccine optimism mounts
3 years ago
A rocky week for financial markets is nonetheless ending with European high yield credit spreads markedly tighter than where they began, with US underperformance re-establishing the transatlantic gap that prevailed before the omicron blow out -
Reality check for credit as omicron research timeline extends
3 years ago
Another dose of harsh reality has sunk into financial markets on Tuesday, as investors continue to reappraise the impact of tightening travel restrictions and the timeline for pharmaceutical work to address the omicron covid-19 variant -
Traders hunt for Monday bargains in Black Friday debris
3 years ago
The turmoil of Black Friday has given way to a counter-wise move on Monday, with financial markets latching onto scraps of hope over the weekend following the panic of a newly discovered covid-19 variant -
US travel, energy and retail credits take big hit as variant rout extends
3 years ago
The widening trend in credit is extending as the weekend approaches, with US spreads picking up the baton from Europe's earlier surge -
Nu variant panic sends credit spreads to the year's wides
3 years ago
The discovery of a new covid-19 variant has routed financial markets at the end of what had already been a dour week, sending credit spreads to their widest of the year -
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 -
Spreads jump wider as Fed chair gets another four years
3 years ago
Financial markets have not reacted well to the nomination of US Federal Reserve chair Jerome Powell for another four-year term, taking this as signal for a more hawkish path of policy -
Covid fourth wave lockdowns hit credit with travel cos under pressure
3 years ago
A flattish week in credit gave way to a spread widening move on Friday, as investor concern focused on a fourth wave of covid-19 cases in Europe and further signs of Chinese economic slowdown
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