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Russia oil ban accord unites markets in sell off
1 year ago
EU leaders’ compromise agreement on banning Russian oil imports by sea has presented a united front few may have thought possible only days ago. But financial markets have not reacted positively, with risk assets selling off as the euro slumps and oil hits its highest level since March -
Tech and supply chain concerns take credit back to year's wides
2 years ago
A cocktail of bearish signals has taken credit markets back to their widest levels since March, with Tuesday's sell off spilling over into the Wednesday session -
Financials and high yield outperform as rally gathers momentum
2 years ago
Credit spreads are enjoying a second day of improvement to regain some of the ground they lost last week, with Italian banks, commodity traders and higher yielding borrowers among outperformers in a broad rally of both indices and single name borrowers -
Credit pulled in different directions as coronavirus relief opens political divisions
4 years ago
A cautious tone surrounds the return of European credit trading after the long weekend - and the Fed-package furore that ended last week. Today's lack of European credit direction comes despite big rallies in Asia, better stock markets and an EU agreement on Friday for €500 billion in stimulus measures -
Credit market snapshot: markets tighten; US high yield erases losses
11 years ago
Credit spreads began tightening again, with US high yield erasing Monday's losses -
Credit market snapshot: Europe wakes up to Italian headache
11 years ago
Credit spreads gap wider as markets react to Italian election with a surge in trading. -
Credit market snapshot: US and Europe move in opposite directions
11 years ago
US credit moved in as European names moved out in almost equal measure -
Credit market snapshot: Spreads largely unchanged on higher volumes
11 years ago
Credit is largely flat on the highest trading volumes of 2013 -
Credit market snapshot: Europe weakens on euro's strength
11 years ago
US credit outperformed Europe as the stregnth of the euro is cited as the region's weakness -
High yield-focused hedge fund manager sees big increase in AUM
11 years ago
Credit hedge fund manager posts strong return in 2012 -
Chemical sector spreads go wider as traders look to unwind long position
12 years ago
Chemical sector credits gap wider as traders seek to unwind crowded long position -
Longs get caught out as US spreads move wider
13 years ago
Yesterday it was the turn of the longs to suffer pain as investment grade index spreads took a widening turn -
Switch from Renault to Fiat bond, says UniCredit
14 years ago
UniCredit analysts recommend switching from Renault’s bond into the Fiat’s bond. -
Barcap returns Q1 profit despite £1 billion new credit write-downs
16 years ago
Barclays today issued an interim statement revealing just over £1 billion additional credit-related write-downs at Barclays Capital in the first quarter -
AIB loses CDO manager
21 years ago
AIB loses CDO manager -
CDO structurer leaves as Morgan Stanley reshuffles
22 years ago
CDO structurer leaves as Morgan Stanley reshuffles
16 results found Showing page 1 of 1
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