Search results
11 results found Showing page 1 of 1
Refine Search
Article Categories
Strategy Tags
- Direct lending (1)
- Emerging markets (1)
- High yield bonds (remove)
- Investment grade credit (7)
- Structured credit (1)
- CLO (1)
- Distressed debt (4)
- Leveraged loans (2)
- Synthetic/SRT (9)
Geography Tags
-
Telco and retailer gap wider as PE firms circle
2 years ago
Telecom Italia is one of the Monday credit market's biggest underperformers, in an otherwise finely poised start to the week -
Credit rallies on Fed and BofE rates signals, but starting gun fires on tapering
2 years ago
Credit and equity markets have responded well to the US Federal Reserve unveiling much anticipated plans to begin tapering asset purchases, while vouching it will stay patient on hiking interest rates. The Bank of England followed this on Thursday by holding its rates at 0.1% -
German real estate co hits new wides as single names catch up with index rout
2 years ago
Adler Real Estate is again one of the biggest movers in the European credit market, as the week comes to a bearish close and October begins with heightened uncertainty -
Credit and stocks regain composure on rates as oil hits new heights
3 years ago
Credit and equity markets have improved again on Wednesday morning, after US treasury secretary Janet Yellen's comments about possible rate rises spooked markets on Tuesday afternoon -
Picard and Cleveland-Cliffs underscore high yield single name sensitivity
3 years ago
Picard entered a relief rally on Friday after postponing a triple-tranche bond deal backing a refinancing and shareholder dividend -
Travel company CDS soars wider as bond issue converts to concern
3 years ago
TUI, the Anglo-German travel operator, is under pressure in credit and equity markets just it has launched an offering of convertible bonds -
Europcar CDS auction shocks protection buyers with zero pay-out
3 years ago
Wednesay's auction to settle Europcar Mobility Group CDS has left protection buyers on the company with nothing to show for their investments and hedges, after dealers produced an unexpected 100% recovery on contracts due to a technical mismatch in bids and orders -
Index sell off hits at start of busy week for primary
3 years ago
Credit is stumbling into the week, with a widening of index spreads that noticeably underperforms stock markets -
Europe/US high yield gap re-opens with roll, but raises fair value questions
3 years ago
The semi-annual roll of US high yield index CDX HY has once again put daylight between it and European counterpart iTraxx Europe. But the new series has come in tighter than some market participants had anticipated -
LP round-up: mighty Oaks win $1 billion apiece from Calpers
3 years ago
Credit investors allocated over $3 billion to 18 credit managers this week across a wide range of strategies -
Aviva appoints new chief investment officer for fixed income
9 years ago
Aviva Investors has today announced the appointment of Mark Connolly as its chief investment officer for fixed income.
11 results found Showing page 1 of 1
Want all the latest news, comment, analysis and data?