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Fed members need to restore their credibility, which could translate into excessive tightening
1 year ago
Rising wages have boosted spending and GDP — but the party can’t last forever -
CLO funds make best of a bad situation
1 year ago
It can’t get any worse can it? Well, it did in 2022, when credit spreads kept moving wider. Still, CLO funds were able to withstand the pressure, and they outperformed other credit strategies -
Fund performance: Groundhog Day as 2021 leaders start strong
2 years ago
CLO funds once again claim the most top performing spots as seven out of 10 funds belong to the category -
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 -
Fund performance: Déjà vu as April leaders dominate
3 years ago
CLO funds stayed in the top flight for another month as they took over the top 10 credit hedge fund return table in May, when 87% of all funds listed made positive returns -
Fund performance: CLO funds outperform as two hit over 100% 12-months return
3 years ago
CLO funds swatted away the competition in April on their way to dominating our top 10 credit hedge fund return table after an upbeat month -
Lord Abbett prepares special situations interval fund
3 years ago
Lord Abbett is preparing to launch a new special situations fund in the form of an interval fund -
Fund performance: CLO funds keep up momentum as Napier Park finishes top
3 years ago
2020 ended with funds in our CLOs category taking the top few spots -
Credit Rendezvous: heading for homes
3 years ago
Fund managers in structured credit, real assets and distressed are bullish on the prospects for residential housing in 2021. Elsewhere, niche royalty-based strategies are in favour and although a CLO repricing wave is expected, it may not be easy to execute resets. For more, read our 13-page quarterly report on credit. -
Assurant outsources investment management
4 years ago
Assurant has outsourced the management of its core investment portfolio to Goldman Sachs Asset Management and Voya Investment Management -
KKR takes covid-19 hit on flagship credit funds and lev fin
4 years ago
KKR took a 16% hit to returns on its alternative credit flagship funds amid the first quarter coronavirus downturn and a 13% loss on leveraged credit, taking these into negative territory for the last 12 months. The firm's private equity portfolio also slumped by 12% -
Loomis Sayles loses out as US pension shifts to higher-quality credit
4 years ago
Dallas Police and Fire Pension System is liquidating a loan portfolio managed by Loomis Sayles, as it reallocates assets away from high yield towards investment grade -
Elfa partners with LMA to develop standardised ESG disclosure topics
4 years ago
The European Leveraged Finance Association, in partnership with the Loan Market Association, has launched an engagement programme to develop a standard set of material ESG disclosure topics on which issuers and borrowers can be expected to report publicly -
California pension looks to cut liquid credit allocations
4 years ago
Fresno County Employees’ Retirement Association will likely cut back on liquid credit and completely remove hedge fund allocations in 2020.. But the pension is optimistic about core bonds – and may include it as a new asset class -
Pimco launches listed multi-sector global credit fund
4 years ago
Known as Pimco Tactical Income Fund, the fund will invest in a range of global credit strategies and will list on the New York Stock Exchange -
BlueBay launches global leveraged finance fund
5 years ago
BlueBay Asset Management has launched a global leveraged finance fund that is able to allocate towards high yield bonds, leveraged loans, structured credit and investment grade assets -
Investor requirements rather than performance is driving ESG push: Creditflux survey
5 years ago
Only 14% of respondents to Creditflux's global credit ESG survey said performance was the main reason they were adopting envoronmental, social and governance-themed strategies -
Mizuho appoints US and European credit trading heads in leadership shake-up
5 years ago
The hires include a newly created CLO role, head of credit trading, and head of special situations and illiquid trading -
Border to Coast pension seeks exposure to UK investment grade credit
5 years ago
Border to Coast Pensions Partnership is set to begin a manager selection process, seeking UK investment grade credit and global multi-asset credit funds -
Robeco looks to align macro fixed income with credit as it makes senior hire
5 years ago
Robeco has hired Jamie Stuttard as co-head of the global fixed income macro team and fixed income strategist -
Los Angeles pension fund plans $3.7 billion allocation to credit
5 years ago
Los Angeles City Employees' Retirement System, the $17 billion pension fund, is allocating to credit in 2019 - it's looking to put $2.44 billion to work in core-fixed income, $800 million into emerging markets debt, $235 million into high yield and a similar amount into a bond/loan hybrid fund -
Investec AM announces leadership succession plan
6 years ago
Investec Asset Management has announced its leadership succession plans following the retirement of Investec Group's chief executive officer and managing director -
Leading fund: Lupus Alpha CLO Opportunity Notes I
7 years ago
Single-B CLO trades boost Lupus Alpha asset Management
23 results found Showing page 1 of 1
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