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Global corporate defaults on fastest pace since 2009 according to S&P
1 month ago
The number of corporate defaults has risen dramatically year-to-date, according to S&P Global Ratings, driven by a doubling of the rate of defaults in Europe -
Credit Rendezvous: Make yourself comfortable, there’s a storm coming
1 year ago
In our Q1 outlook, we speak to Edwin Wilches, PGIM (US CLOs), Mikkel Sckerl and Flemming Dose, Capital Four (European CLOs), Jim Fitzpatrick, CQS (US loans), Loic Prevot, Polus (European loans), Madelaine Jones, Oaktree (global high yield), Art Penn, Pennant Park (US direct lending), Mattis Poetter, Arcmont (European direct lending), Keerthi Raghavan, Waterfall (structured credit), Ray Costa, Benefit Street (distressed), Grant Webster, Ninety One (Emerging markets), Oumar Diallo, Aeon (real assets) for their views for the upcoming quarter. -
European credit specialist rejoins Allspring
1 year ago
An experienced European loan and high yield specialist has returned to Allspring Global Investments after a spell at Western Asset Management -
US pension plans termination of manager to bring "portfolio closer to market duration neutral"
1 year ago
Arkansas Teacher Retirement System is planning to reallocate assets to two existing fixed income managers -
Grifols basis opportunity opens as investors eye bond-CDS compression
1 year ago
The spread differential between Grifols’ CDS and its B3/B-/B+ rated €1 billion 3.2% senior unsecured 2025 bonds has opened up a positive basis-trade opportunity -
Fund performance: Wake us up when September ends
1 year ago
After a resurgent August, credit markets hit a rough patch in September, with every Creditflux index posting negative returns, and only 12.9% of funds in our listings showing a positive return. -
Credit faces blind spot as borrowers enter higher default cycle: BNP Paribas
1 year ago
With short term rates outstripping nominal GDP growth, the credit cycle is entering its next and final stage – one in which corporate defaults will pick up but high quality borrowers should outperform -
Spreads trace worryingly familiar arc as investors take good news as bad and bad new worse
1 year ago
Credit spreads are pushing ever closer towards the year’s peak levels, continuing Wednesday a sell off that began on Tuesday, with positive US economic data perversely sparking a bearish shift in financial assets that negative European data has since compounded -
Credit PM pair seek galaxy of opportunities with long/short fund manager launch
1 year ago
Two experienced portfolio managers have set up a new venture to take advantage of volatile markets -
Real estate is about to get real bad: Welshcake
1 year ago
The extent of disconnect between real estate and what other markets have been experiencing is enough to convince me a whole other layer of economic mayhem is on the way. But investors in credit, for all their current pain, could still end up shining if they are prepared -
Corum Butler hires experienced high yield portfolio manager
2 years ago
Corum Butler has added to its team of five bond fund portfolio managers with a Paris-based hire -
Apollo hires ex-JP Morgan CLO co-head to lead new Apac credit business
2 years ago
Apollo Global Management has hired three from Commonwealth Bank to lead the fim’s Asia Pacific credit business -
Natixis hires head of leverage finance syndication in New York
2 years ago
Natixis has hired a managing director to head up its leveraged finance syndication -
TwentyFour promotes US credit head to partner
2 years ago
TwentyFour Asset Management has promoted its head of US credit to partner, effective in the early part of this year -
Millennium senior tranche trader jumps to Verition
2 years ago
An experienced synthetic structured credit trader has left Millennium Management in New York to join Greenwich headquartered Verition Fund Management -
"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
2 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 -
Publishing boost for French firm but China sours wider market
2 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 -
Squarepoint draws big name options market maker to buy side
2 years ago
An experienced credit options trader has decided to join the systematic and quant strategies manager in a change of career from working on the sell side -
Credit markets heed early indicators of inflation pressure
2 years ago
Inflation became the topic du jour after the consumer price index (CPI) grew 4.2% in April, its fastest rate since September 2008 and much higher than the 3.6% many analysts predicted -
"IG investors might want to rethink the instrument, but they need not fear rising rates just yet"
3 years ago
In his latest column for Creditflux, Cheyne's Duncan Sankey writes that the sharp rise in 10-year US treasuries could be positive for investment grade investors, but value is in CDS rather than bonds -
Natixis IM hires CEO with incumbent Raby set to depart
3 years ago
Natixis Investment Managers has hired Generali's chief investment officer to lead the firm from 12 April -
High yield fund sets pace with 22% return in January
3 years ago
Wasserstein Debt Opportunities Fund has set the early pace for credit hedge funds in 2021 after registering a 21.7% gain in January. This builds on the high yield fund’s success last year and takes 12-month returns to 40.44%. -
Compression trades grind into gear as spreads narrow
3 years ago
Compression between high yield and investment grade credit looks to be finally gaining traction in February, having been identified by some strategists at the start of the year as a key 2021 theme -
CDS indices edge wider and positive skew opens as Pershing Square puts on new hedge
3 years ago
Credit indices have widened a touch this week but they’re back in focus with reports that Pershing Square Capital Management, led by Bill Ackman, has this week used CDS indices to hedge parts of its equity portfolio -
Squarepoint adds former bank credit trading head in London
3 years ago
Squarepoint Capital, a cross-asset fund manager that uses systematic and quantitative strategies, has hired a former global credit trading head at Societe Generale to lead fixed income, currencies and commodities alpha capture
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