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Deutsche hires credit strategy head from rival bank
1 year ago
Deutsche Bank has hired a new head to oversee European and US credit strategy -
One-year CSOs come to fore as investors predict widening
1 year ago
With credit spreads entering the fourth quarter at much the same elevated levels they began Q3, investors are increasingly looking to bespoke tranches as a way of taking advantage while mitigating the market’s tail risks. -
Credit hedge funds (October 2022)
1 year ago
Credit hedge fund returns
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Dispersion picks up as candidates for distress emerge
1 year ago
Dispersion will be a concern for all parts of the global credit market in the fourth quarter, say traders who are focused on relative value -
Position cutting tames market rally and strategists warn on primary impact
1 year ago
Caution is the watchword across financial markets on Tuesday, with the strong recent run giving way to hedging and position cutting ahead of a much-anticipated US inflation reading on Wednesday -
Credit hedge funds (August 2022)
1 year ago
Credit hedge fund returns -
Credit Rendezvous: Investors try to avoid suplex city as recession and inflation reform tag-team
1 year ago
Credit investors getting ready to lock up against that familiar 1970s pairing of inflation and recession. But the hard-hitting tag team has picked up some new moves, causing floating rate outperformance to give way to underperformance; synthetic credit to outperform cash; and CLO terms curves to reshape into barely recognisable positions -
Credit hedge funds (July 2022)
1 year ago
Credit hedge fund returns -
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 -
CLO top stack offers best value versus corp debt after junior tranche rally: Barclays
2 years ago
Having lagged in the recent market recovery, CLO triple A paper looks attractive versus corporate investment grade and the CDX IG credit derivatives index -
Credit hedge funds (June 2022)
2 years ago
Credit hedge fund returns
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Credit hedge funds (May 2022)
2 years ago
Credit hedge fund returns -
Dispersion begets dispersion in mixed bag of fund returns
2 years ago
Idiosyncratic risks are set to rise in credit, with fund managers becoming occupied with tail risks, and that has been seen in a scattered set of March hedge fund returns -
Credit Rendezvous: Pass masters
2 years ago
Most often, a credit market downturn has its roots mired in one big, blatant obstacle that credit managers have to focus their attention to overcome. But right now, it’s not the dominant risk factor that has to be defeated, it’s the sheer number of them... -
Winton hires quant credit specialist as PM
2 years ago
Winton, a London-headquartered asset management firm that specialises in quantitative strategies, has hired an experienced trader to focus on credit alpha capture -
Credit hedge funds (April 2022)
2 years ago
Credit hedge fund returns -
Credit hedge funds (March 2022)
2 years ago
Credit hedge fund returns -
Credit hedge funds (February 2022)
2 years ago
Credit hedge fund returns -
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 -
Credit hedge funds (January 2022)
2 years ago
Credit hedge fund returns -
Citi's former correlation trading star takes on new risk head role
2 years ago
Citi's former head of credit correlation trading has taken on a new role in the bank, becoming head of in-business market risk for global markets -
Credit hedge funds (November 2021)
2 years ago
Credit hedge fund returns -
Dispersion trades in play as transatlantic rift opens
2 years ago
The return of idiosyncratic risk at the wide end of US and European high yield markets has put index equity tranches for the two jurisdictions on noticeably divergent paths, say correlation traders -
Zais and BNP Paribas strike ESG breakthrough with climate change CSO
2 years ago
The growing theme of environmental, social and governance standards helping to revitalise the market for collateralised synthetic obligations appears to have taken a big step forward, with Zais Group and BNP Paribas partnering on a first-of-its-kind deal that could lay a template for future transactions -
Credit hedge funds (October 2021)
2 years ago
Credit hedge fund returns
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