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Goldman suggests chemicals switch for high yield buyers
13 years ago
Goldman Sachs suggests swapping Hexion’s 9.75% second lien bonds for the 9.75% second lien bonds issued by fellow chemical company Momentive -
Goldman Sachs adds CMS Energy to its list of "picks"
13 years ago
Goldman Sachs credit researchers have added CMS Energy’s 6.25% 2020 bonds to their list of top buys -
Morgan Stanley proposes financials duration switches
13 years ago
In its most recent credit strategy research report, Morgan Stanley argues that the credit risks for European financial institutions lie mainly in the short term -
Nexen is one of the best deleveraging stories, says Goldman
13 years ago
In the latest issue of its Credit Line research report, Goldman Sachs suggests buying the bonds of energy company Nexen -
Upper tier two hybrids could have scarcity value, says RBC
14 years ago
RBC Capital Markets says that upper tier two securities could offer good value relative to other bank hybrid capital securities -
Investors undervalue coupon step-ups, says Morgan Stanley
14 years ago
Morgan Stanley suggests buying European corporate bonds with a ratings-triggered coupon step-up -
Buy Telecom Italia bonds, recommends Goldman Sachs
14 years ago
Goldman Sachs says that Telecom Italia’s cash bonds, which trade some 100-120 basis points wider than top-tier telecom operators, offer good value -
Buy mid-market CLOs, recommends Wells Fargo
14 years ago
Wells Fargo recommends buying triple A and double A tranches of middle market CLOs, arguing that these deals should outperform other CLOs in an environment of rising defaults -
Barcap touts full cap structure trade to arb super senior basis
14 years ago
Barclays Capital says that the current 7.4 basis point difference between actual and model-implied super senior spreads is a good point to put on a full capital structure trade -
Dump gas prospector bonds for pipe maker's, suggests Citi
14 years ago
A recent Citi high yield research report highlights a relative value trading opportunity in the new issue market -
“Refinanced” high yield names offer defensive play, says UBS
14 years ago
UBS says that the wave of refinancings by leveraged loan borrowers present opportunities for investors that fear a double-dip recession -
Give energy company's bonds a miss, says CreditSights
14 years ago
Bond investors are overlooking the structural subordination of a planned new bond issue, according to a new report -
Goldman favours oil price hedgers
14 years ago
Goldman favours oil price hedgers -
Buy sugar maker's hybrid, recommends Unicredit
14 years ago
Unicredit analysts say yesterday’s results from Germany triple B borrower Südzucker were better than expected -
Rising steel prices make Ryerson worth a punt, says Goldman
14 years ago
Goldman Sachs recommends buying the 12% 2015 first lien secured bonds issued by US steel maker Ryerson -
Double Bs are the market's new sweet spot, says Goldman Sachs
14 years ago
Goldman Sachs has switched from recommending triple B corporate bonds to those in the double B category -
BNP Paribas recommends holding Credit Logement's tier-one
14 years ago
BNP Paribas analyst note that Credit Logement’s €450 million tier-one floating rate note gives an attractive yield of 21.5% despite the fact that the French bank confirmed last Friday that it will not be calling the bond on 15 December 2009. -
Drop restructuring for CDS index trades, posits Bank of America/Merill Lynch
14 years ago
Bank of America/Merrill Lynch credit analysts posit a compromise for the restructuring credit event. -
Goldman Sachs downgrades US Steel
14 years ago
Goldman Sachs strategists dongraded US Steel from outperform to underperform. -
RBC downgrades Telecom Italia's eurobonds
14 years ago
RBC credit analysts downgarded Telecom Italia's euro-denominated cash bonds from sector perform to underperform. -
RBC downgrades BSkyB on bond valuation
14 years ago
RBC credit research downgraded British Sky Broadcasting from outperform to sector perform. -
US credit and equity offer comparable value, says Goldman
14 years ago
Goldman Sachs strategists report in their recent research that US investment grade cash credit and equities now offer comparable relative value. -
Pharma credits contain patent risk, says UniCredit
14 years ago
UniCredit recommends a cash bond trade today on Sanofi-Aventis and Roche. -
Loan to bond financing ratio may shift, says SocGen
14 years ago
Societe Generale’s credit research today reports that the loan financing to capital market financing ratio may change. -
Aviva tier-one still an opportunity, says BNP
14 years ago
Aviva’s tier-one perpetual bond has had a phenomenal run in recent weeks, analysts at BNP Paribas report.
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