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US sponsor-led loans show sharp deterioration in covenant quality
8 months ago
Credit underwriting standards in the US continued to fall in the second quarter of 2023, according to a new special report from Xtract Research. -
New IACPM survey points to a global recession
8 months ago
Respondents to the latest IACPM Credit Outlook Survey overwhelmingly expect global economies to fall into recession either later this year or sometime in 2024. -
June 2023 US Leveraged Highlights
8 months ago
Debtwire has released the June 2023 US Leveraged Highlights, featuring key trends in the leveraged loan and high yield bond markets. -
High yield bond index offers opportunities for credit pickers
8 months ago
The global high yield bond market has become a skewed barbell offering benefits to credit pickers, according to a new research note from global asset manager Ninety One. -
Largarde snowballs puncture complacent calm and shocks spreads wider
1 year ago
Credit markets are ending the week on a big push wider, after European Central Bank chief Christine Lagarde delivered the surprise that had been missing from other central bank messaging -
Major fund withdrawals undermine credit momentum
1 year ago
Credit funds are extending their run of inflows into the end of the year, but investment grade momentum took a dent last week due to investors in one big fund pulling their money -
Capex and real yields will split winners from losers in '23: BofA
1 year ago
Companies able to undertake capital expenditure will be the winners in 2023, while those historically most sensitive to rising real yields should inspire caution, say Bank of America strategists -
Rebuke for optimism as US jobs send market bulls running for cover
1 year ago
Investors’ determination to maintain an optimistic outlook on US Federal Reserve policy hit a point of reckoning on Friday, with hot US jobs numbers adding weight to committee members’ message that there is still a lot more work for them to do -
Powell outlook brings risk buyers out in droves, but reality check looks soon to follow
1 year ago
Comments by US Federal Reserve chairman Jerome Powell on Wednesday on the pace of future rate hikes have prompted a sharp rally across global financial markets, including credit. But dissenting voices have already begun to point out the enthusiasm is likely overdone -
Public credit markets "most attractive for 15 years" says Wamco
1 year ago
The US Federal Reserve is helping to create the potential for the "most attractive opportunity in public credit markets in the last 15 years", according to a research note published by Western Asset Management -
Credit Suisse tests investor nerves as market preps for Fed-focused week
1 year ago
Credit Suisse, which has been subjected to another week of intense scrutiny, is heading into the weekend with its credit spreads extending wider, after warning on losses and undertaking a capital hike -
Swiss bank looks to plug holes but investors are hun-gruyere for risk
1 year ago
Credit Suisse is a rare, worrisome cloud in an otherwise brightening sky this week, as Europe extends its tightening trend in credit with the US standing at ease for the Thanksgiving holiday -
Outsized corporate rally puts financials RV in focus
1 year ago
The week is ending with resumption of credit’s recent rally after a brief pause, and Europe once again taking the lead over the US -
Things are looking up... for curve steepener trades: Barclays
1 year ago
Investment grade credit index curves look too flat, say Barclays strategists – and that makes it a compelling time to consider steepener trades in Europe and the US -
European outperformance creates index options trading mismatch: Barclays
1 year ago
The recent outperformance of European credit over US has shifted the value of iTraxx index options, but CDX index volatility premiums stand out for having hit a new low -
Financials offer relative value opportunities after synthetic credit overshoot: BNP Paribas
1 year ago
A technical squeeze, driven by investor risk appetite but also short covering, has taken some parts of the synthetic credit to a point where cash bonds look to offer better relative value -
Credit euphoria follows CPI, but analysts warn of comedown
1 year ago
Softer than expected US inflation numbers have ignited a spectacular rally in financial markets. But strategists and economists warn against the exuberance, arguing more pain is likely on the way -
Up to 40% more US loan supply will hit primary market next year: Barclays
1 year ago
US leveraged loan supply in 2023 will outstrip this year’s tally by a good margin, according to Barclays credit strategists in New York. But it will remain below average, particularly given the increased size of the index -
Soft mood music abruptly dashed as Fed and BoE rile markets
1 year ago
The credit market’s strong run of improvement has come to an end this week, with the US Federal Reserve and Bank of England delivering a reality check to hopes of a more dovish path forward on interest rates -
Credit faces blind spot as borrowers enter higher default cycle: BNP Paribas
1 year ago
With short term rates outstripping nominal GDP growth, the credit cycle is entering its next and final stage – one in which corporate defaults will pick up but high quality borrowers should outperform -
Credit pivots sharply as US returns to growth and ECB confirms record hiking cycle
1 year ago
After a wider start, credit markets reversed course Thursday having digested a strong US GDP reading and the European Central Bank lifting its base rate by 75bp – a move that confirms this as the region’s most aggressive ever hiking cycle -
UK credit spreads rally for Rishi
1 year ago
UK credit spreads have rallied sharply on Monday with the victory of Rishi Sunak in the contest to become the country’s third prime minister of the year -
It's time for bullish reversal on IG credit to play decompression: JP Morgan
1 year ago
Having been bearish most of the year JP Morgan has changed its view on investment grade credit to neutral, saying value has become too cheap to ignore -
Credit/equity RV trades work better in selloffs than rallies: Barclays
1 year ago
Investors looking to exploit dislocations between high yield debt and equity would do better to short bonds following equity selloffs rather than buy bonds following equity rallies, according to Barclays credit strategists -
Credit volatility leaps after US inflation bolters hawks
1 year ago
Credit volatility spiked on Thursday in the wake of a US inflation report that dispelled any remaining conjecture the Federal Reserve will slow its pace of interest rate hikes at the next policy meeting
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