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Ukraine and Russia volatility steps up amid political trial and conflict fears
2 years ago
Ukrainian and Russian spreads are among the market's biggest movers at the start of the week, as developing tensions between the two countries ramp up another notch and former Ukrainian president Petro Poroshenko has arrived in Kyiv to face treason charges -
Post-CPI relief rally gives way to bears as reality bites
2 years ago
A bearish tone has returned to financial markets in the latter part of the week, despite investors seemingly taking in stride the highest US inflation growth numbers for almost 40 years -
It's all relative: CLOs march tighter as macro traders open positive CDS skews
3 years ago
Credit default swaps are back near where they started the year after giving up their early-February gains amid a rise in government bonds. CDS curves steepened over the past month and macro hedging has left indices trading with positive skews. But CLOs paint a calmer picture in which spreads have inched tighter -
It's all relative: senior CLO tranches tighten 18% in Europe as CDS indices sit out rally
The corporate credit rally in January is notable because some assets tightened to levels not seen in over a decade (loans), others rallied albeit with a lag (CLOs) and the most liquid stream of credit (CDS indices) defied moves in other asset classes to widen
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Credit traders' kickstand: Trump gives Europe the ghoulies as single B spectres haunt CLOs
4 years ago
Trade tariff terrors and things that go triple C rated in the night are top of the list of items spooking credit market sentiment at the end of this week -
Central clearer resource concentration puts systemic risk in spotlight
5 years ago
A joint study by regulators has revealed that default resources are increasingly concentrated in just two central counterparties -
London manager closes third credit fund at €459 million
6 years ago
Rothschild Credit Management has announced the final close of its third credit investment fund at €459 million -
Credit market snapshot: Greek weakness begins to trickle through
9 years ago
Credit spreads inch wider as Greek government forms its new cabinet, but contagion is minimal -
Allianz hands two high yield funds to new recruit
9 years ago
Two European high yield funds to be managed by new recruit at Allianz -
SocGen's mean reversion model says buy protection on Senior Fin
9 years ago
Investors should consider buying protection on Markit iTraxx Europe Senior Financials index because the current index level is significantly over-valued on a mean reversion basis -
Credit hedge fund gets loyalty reward after bond exchange offer
10 years ago
Phoenix Investment Advisors gets boost from shopping card company’s debt exchange -
Italian banks resume tightening on credit improvements
10 years ago
Spreads on Italian banks have resumed their tightening trend as Intesa Sanpaulo and UniCredit improve balance sheets -
Quests’s widening symptoms diagnosed as being Medicare cuts
10 years ago
US laboratory test provider Quest Diagnostics sees its spreads soar as Medicare reimbursements cut -
Credit market snapshot: Europe ends day tighter ahead of roll
10 years ago
Spreads on European indices give up a lot of their early gains while US spreads inch out -
Credit market snapshot: Europe misses out on Fed stimulus tightening
10 years ago
US spreads jump tighter as Fed minutes show tapering, but European spreads have to wait -
Credit market snapshot: Europe catches up on widening
10 years ago
European credit moves out to catch up with the US after a day off from market widening -
Credit market snapshot: credit edges tighter on mixed day
11 years ago
Credit moves tighter on relatively choppy day -
Top credit BDCs put in strong returns
12 years ago
Business development companies that invest in mezzanine and other mid-market US loans returned on average 8.9% to investors last year -
Turkish bank plans $300 million hedge fund
15 years ago
Turkey's second-largest bank, Garanti Bankasi is readying a hedge fund for launch that will invest in various types of securities including bonds and credit derivatives -
Citi drama drives dramatic volatility in CDS spreads
15 years ago
Citi drama drives dramatic volatility in CDS spreads -
Merrill Lynch posts $1.96 billion Q1 loss after CDO and monoline write downs
16 years ago
Merrill Lynch has reported first quarter results showing the bank made a net loss from continuing operations of $1.96 billion, compared to net earnings of $2.16 billion for the same period last year -
Week beginning 19 September
18 years ago
Week beginning 19 September -
Equity tranches snap tighter as roll prompts heavy trading
18 years ago
Equity tranches snap tighter as roll prompts heavy trading
23 results found Showing page 1 of 1
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