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Credit hedge funds (March 2022)
2 years ago
Credit hedge fund returns -
Credit funds at a glance (March 2022)
2 years ago
A round up of fundraising and people moves in credit -
Yuzhou has no use for CDS auction despite triggering contracts: DC
2 years ago
Yuzhou Group will not require an auction to settle CDS contracts despite having triggered a failure-to-pay credit event, the Credit Derivatives Determinations Committee has ruled -
From one nation of yellow flowers to another: we are with you
2 years ago
It is Saint David's Day, the biggest day in the Welsh calendar. Today it is not a celebration but a call to action -
Russia debt hits default levels amid FX and asset lock-up
2 years ago
Russia appears to be on the brink of default on its debt, with bonds and CDS pricing in the likelihood of an imminent trigger -
Ukraine crisis takes EU and Russian markets into new territory
2 years ago
Credit spreads went back to the wides again on Monday, after the European Union intensified its pressure on the Russian economy and reached an unprecedented agreement to supply Ukraine with weapons -
Willis Towers Watson promotes manager research specialist to global credit head
2 years ago
Willis Towers Watson has named a global head of credit for manager research -
French co rattles investors on micro level as Russia overclouds macro
2 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 -
Asian property co default in crosshairs as DC agrees to rule on failure-to-pay
2 years ago
Yuzhou Group is under consideration as a default trigger for CDS contracts, after the Asia Ex-Japan Credit Derivatives Determinations Committee agreed to rule on failure-to-pay question -
Ukrainian volatility speaks loud and clear after Russia talks fail
2 years ago
Ukrainian and Russian credit are ending the week with renewed volatility, as failed attempts at diplomatic talks appeared to exacerbate rather than simmer down tensions between the countries -
Saipem extends recovery as credit market stabilises
2 years ago
Saipem is the credit market's main mover on Thursday in a flatter day for spreads following recent volatility -
Relief rally for riskiest credits brings reversal on dispersion and first loss trades
2 years ago
Some of the European high yield credit market's riskiest corporate credits are enjoying a strong relief rally, among signals of reprieve from the woes that have beset them in recent weeks -
Oak Hill hires head of ESG in New York
2 years ago
Oak Hill Advisors has hired its first head of ESG and sustainability -
Saipem near-term default risk spikes following Moody's downgrade
2 years ago
Saipem's CDS curve has inverted precariously to reflect the company having become the most likely near-term default in the iTraxx Crossover index -
Credit hedge funds (February 2022)
2 years ago
Credit hedge fund returns -
Credit funds at a glance (February 2022)
2 years ago
A round up of fundraising and people moves in credit -
Ironshield prepares for ‘choppier’ kind of dislocation
2 years ago
Distressed debt investors are casting an eye over Europe as a cocktail of inflationary pressures, supply chain shortages and geopolitical risks weigh on corporate credit -
Fund performance: Wasserstein's early 2021 performance drives it to the top
2 years ago
The final top 10 of 2021 featured a variety of funds as five different strategies were ranked among the best. US high yield was the most highly represented with two BlackRock funds and an Angel Oak in the top 10 -
Saipem's fall lands it among Europe's riskiest borrowers
2 years ago
Saipem has placed itself among the riskiest companies in the European high yield credit market, with its deterioration in spreads extending as it negotiates with investors to shore up ailing finances -
Engineering company gaps wider as earnings slump invites debt wrangles
2 years ago
Saipem is a standout mover in the European credit market on Monday after warning on profits -
Heavy market rout takes credit back to November 2020 levels
2 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 -
Credit Rendezvous: the upside of inflation
2 years ago
It is clear, inflation is not transitory and central banks are acting with several interest rate hikes likely in store for the US this year. That makes loans and CLO debt tranches attractive, but there could be opportunities beyond these floating rate assets -
See what's next: Netflix gives whole market a chill
2 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 -
Gapstow expects strategic deals as credit manager M&A volume slumps to $120 billion
2 years ago
M&A volume involving credit asset managers dropped last year with total target value assets under management slumping to $120 billion from $149 billion in 2020 (and $254 billion in 2019), according to Gapstow Capital Partners -
Värde promotes three credit specialists to partner
2 years ago
Värde Partners has promoted Jim Dunbar, Aneek Mamik and Carlos Sanz Esteve to partner
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