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RiverRock secures €153 million in commitments for new senior loan fund
RiverRock sets €1 billion commitment target for latest fund, nearly double the size of its previous vintage
7 months ago -
SEC charges former BlackRock PM with undisclosed conflict of interest
1 year ago
The Securities and Exchange Commission said it has charged a former BlackRock portfolio manager for failing to disclose a conflict of interest in a fund he managed from 2015 to 2019 -
Manager looks to cut HY exposures in CLO-heavy credit interval fund
1 year ago
A credit fund manager has provided a performance update on is multi-strategy closed-end credit fund through regulatory filings, revealing it has beat its benchmark from 1 April to 30 September despite losing 13.66% -
Sculptor CEO Levin refutes "personal issue" accusation by ex-chief Och
1 year ago
Sculptor Capital Management’s independent board and the company’s chief executive officer and chief investment officer Jimmy Levin have fired back at former CEO and founder Daniel Och after he cited a “personal issue” in reference to Levin’s past -
Iron Park finds new parent just 10 months on from Hunter Point investment
1 year ago
General Atlantic says it has agreed to buy credit manager Iron Park Capital Partners with a view to rebranding it as General Atlantic Credit -
Former Ares partner resurfaces at US multi-strategy asset manager
1 year ago
An experienced credit portfolio manager who worked at Ares and BlueBay has returned to the credit industry -
Franklin Templeton and Benefit Street launch credit interval fund
1 year ago
The pair have launched a multi-strategy credit interval fund named Franklin BSP Private Credit Fund, which will invest across US private credit -
Algebris adds second PM in two months to credit opportunities team
1 year ago
Algebris Investments has hired a co-portfolio manager for its Global Credit Opportunities strategies -
ECB wizards seek ‘anti-fragmentation’ spell to calm spreads
1 year ago
Eurozone financial market performance this month will heavily focus on the European Central Bank’s unveiling of an ‘anti-fragmentation tool’ as it races to avert a blow-out of peripheral spreads and the build-up of longer-term financing problems -
Chinese property industry suffers fourth credit event of year
1 year ago
Shimao Group Holdings has triggered a failure-to-pay credit event, making it the fourth Chinese property firm this year to do so -
Bespoke bond baskets on the rise as investors seek targeted portfolio trades
1 year ago
High yield index replication and accessing illiquid exposure are two factors building momentum for a new investment approach that bundles bonds into a single risk piece -
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 -
Fund performance: Groundhog Day as 2021 leaders start strong
2 years ago
CLO funds once again claim the most top performing spots as seven out of 10 funds belong to the category -
Corum Butler hires experienced high yield portfolio manager
2 years ago
Corum Butler has added to its team of five bond fund portfolio managers with a Paris-based hire -
RBC names head of high yield trading and e-strategy for leveraged finance
2 years ago
RBC Capital Markets has promoted a high yield trader and head of leveraged finance digital strategy to the position -
French airline flies against flock on pandemic repayment plans
2 years ago
Air France is a standout improver on Thursday against a backdrop of broad deterioration in single name credit spreads -
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 -
Gapstow expects strategic deals as credit manager M&A volume slumps to $120 billion
2 years ago
M&A volume involving credit asset managers dropped last year with total target value assets under management slumping to $120 billion from $149 billion in 2020 (and $254 billion in 2019), according to Gapstow Capital Partners -
Investors take nuanced approach to ESG as they move on from negative screening: Elfa
2 years ago
European bond and loan investors have evolved their ESG investment frameworks with 86% saying that they integrate ESG factors 'systematically and explicitly' in their investment process -
ESG template fires up hopes of CSO issuance
2 years ago
2021 may not have been a year of big volume in the synthetic bespoke market, but primary business is back, and decisive inroads into environmental, social and governance (ESG)-focused issuance bode well for 2022 -
LP round up: CLO fund included in whopping $13 billion of credit allocations in November
2 years ago
Credit took centre stage in November as investors allocated over $13 billion to credit funds in the month, with one pension allocating $50 million for a European CLO risk retention fund -
Citadel promotes credit head to co-CIO
2 years ago
Citadel has promoted its global credit head to co-chief investment officer -
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 -
Big name family business lines up corp hybrids fund
2 years ago
Edmond de Rothschild Asset Management (Edram) plans to launch a corporate hybrid fund and has hired Alex Eventon to lead the effort -
Credit suffers double punch from treasury and energy surge
2 years ago
Credit markets are nursing their wounds after taking a battering on Wednesday, prompted by a surge in oil prices and spike in government bond yields that add to concerns about rising inflation
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