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Senior credit strategist switches European banks in London
10 years ago
Former head of European credit strategy at German bank joins French bank in London -
Rating upgrade could be a negative for Alliander hybrids
10 years ago
BNP suggests getting out of Alliander hybrids as rating upgrade opens door for call -
Barclays suggest switching from euro to US dollar bonds
10 years ago
The recent outperformance of European credit is driven by issuer volumes, and will correct, argues Barclays research. -
Mid-market default rate could double, warns Credit Suisse
10 years ago
Credit Suisse research warns that the proportion of companies losing money suggests a much higher default rate -
Go long US high yield and short European crossover, says BNP
10 years ago
BNP research argues that the underperformance in US high yield doesn’t make sense and to go long against European crossover -
Societe Generale research says wait for the next volatility to buy
10 years ago
Research from Societe Generale suggests another bout of volatility is due in September or October but the buying window will be short. -
Cut duration in China credit says Societe Generale
10 years ago
Societe Generale research points to Asian investment grade credit close to tights and suggests reducing duration -
Market fails to price in Telecom Italia downgrade, says BNP Paribas
10 years ago
BNP Paribas research says investors are not being compensated for the risk Telecom Italia will lose its investment grade status -
June’s sell-off was a crash test dummy claims Societe Generale
10 years ago
Research from Societe Generale suggests that the asset price decline in June was more about price discovery than selling -
Credit strategist makes move to sell-side role
10 years ago
Former head of research at insurer takes chief credit strategist role in Australia -
Go long senior European financials against main, says BNP Paribas
10 years ago
Corporate credit has rallied too fast compared to other assets, claims BNP Paribas research -
Morgan Stanley expresses surprise at failure of Mongolian bank
10 years ago
The insolvency of Mongolia’s fifth largest lender could damage the sovereign’s creditworthiness -
Go long European credits with strong US sales, says Bank of America
10 years ago
Bank of America research looks to European names with high US sales exposure for third quarter outperformance -
Options expiries may explain sticky indices, claims BNP Paribas
10 years ago
BNP Paribas research points to a high number of credit option expiries to explain sticky levels of credit indices -
RAB Capital sees surprising fund flows and aims to buy over-sold longs
10 years ago
Mutual fund flows over June offer interesting reading for credit fund, which looks to pick up longs as flows return. -
Steepening makes mid-curve bonds look cheap, says Bank of America
10 years ago
Bank of America research points to value in three to five year bonds in industrials, telecoms and Spanish corporates in particular -
Secured bonds look attractive next to loans, says Barclays
10 years ago
Barclays' latest US Credit Alpha Research claims that secured bonds are outperforming loans after sell-off -
BNP Paribas credit trade idea makes 25 basis points in a day
10 years ago
Trade idea to go short Italian bonds and long credit indices makes profit after one day -
Credit quality of first time issuers is declining claims Moody’s
10 years ago
Moody’s claims that credit quality of new high yield issuers is declining as LBOs dominate the area. -
Don’t expect iron and coal producers to recover, warns Barclays
11 years ago
Barclays credit research argues that while commodities are wide, they can go wider, particularly for coal and iron miners -
Morgan Stanley advises climbing the capital structure in Asia
11 years ago
Morgan Stanley research claims that rising Asian leverage is a concern but not a crisis and investors should look for seniority -
Call risk is back for European high yield, says Morgan Stanley research
11 years ago
With single B rated credit yielding under 7% in Europe, call risk is back on the table, claims Morgan Stanley -
Fitch warns of headwinds to European utilities
11 years ago
Ratings agency warns that high debt and declining market share pose sector-wide risks to European utilities -
Credit Agricole sees step-up value in softening telecoms sector
11 years ago
Certain bonds may gain from a softening in the European telecoms sector -
Buy investment grade supermarket debt, says Barclays research
11 years ago
Barclay’s US Credit Alpha says US supermarkets have room to tighten.
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