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LP round up: 28 credit managers win $6.6 billion as San Diego carves private credit allocation
1 year ago
Pensions allocated over $6.6 billion to credit managers in June including Angelo Gordon, Antares, Apollo, Ares, Beach Point, BioPharma, Brookfield, CarVal, Cerberus... -
Energy co joins Europe's choir of fallen angel candidates as spreads soar
1 year ago
The financial market sell-off is entering acceleration, with credit indices blowing to new psychological levels and a growing number of investment grade companies reaching high yield spreads -
Real estate is about to get real bad: Welshcake
1 year ago
The extent of disconnect between real estate and what other markets have been experiencing is enough to convince me a whole other layer of economic mayhem is on the way. But investors in credit, for all their current pain, could still end up shining if they are prepared -
Asia sets pace for Europe as rally extends in US absence
2 years ago
Credit market investors have resumed their optimistic stance on Monday, buoyed by a weaker US dollar and China reopening its economy after lengthy covid-19 restrictions -
Stalling growth engines leave market in deeper turmoil
2 years ago
Financial markets are starting the week in another heavy slump, with credit hitting new wides as various asset classes take a beating from economic growth fears and the prospect of a recession in Europe -
Fund performance: Credit bounces back from February blues
2 years ago
March performance figures were a slight improvement from the market turn in February; 47% of funds made positive returns, an increase on 17% the previous month -
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 -
Credit rally revives as investors scour ECB for Easter eggs
2 years ago
Credit spreads are taking a turn for the tighter on latest European Central Banks statements, at the end of a short week characterised by flatter index trading but persistent single name volatility -
Fund performance: Credit slumps widely as CLOs lag furthest behind
2 years ago
February’s market turn brought a variety of fund categories into the Creditflux top ten as six different categories were represented -- US high yield standing tallest among them -
Ukraine crisis takes EU and Russian markets into new territory
2 years ago
Credit spreads went back to the wides again on Monday, after the European Union intensified its pressure on the Russian economy and reached an unprecedented agreement to supply Ukraine with weapons -
Europe leads relief rally with energy and peripheral bank credits outperforming
2 years ago
Credit spreads are making a broad move tighter on Tuesday, with European Central Bank president Christine Lagarde having tried to rein back rate hike expectations and oil company BP posting strong profits -
Fund performance: Wasserstein's early 2021 performance drives it to the top
2 years ago
The final top 10 of 2021 featured a variety of funds as five different strategies were ranked among the best. US high yield was the most highly represented with two BlackRock funds and an Angel Oak in the top 10 -
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 -
Robeco adds Asia fixed income head and builds team ahead of strategy launch
2 years ago
Robeco has made a senior hire with a focus on credit and sustainability as it moves staff from Rotterdam in preparation to launch a new fixed income strategy -
Telco provider jumps wider as market downturn extends
2 years ago
The bearishness that reasserted itself in the opening sessions of 2022 has spilled over into a second week, as investors anticipate elevated US inflation numbers that will put the focus back on central bank rate hikes and asset purchase tapering even as covid-19 cases hit new heights -
Credit gives up some gains after central banks’ hawk party
2 years ago
Credit markets are ending the week on a correction wider after central bank-led bullishness drove spreads to their tightest levels of the month -
Banks and loans to benefit in 2022 as safe havens dwindle
2 years ago
Safe havens and sector pitfalls are among some of the top considerations for portfolio managers this year, as a consensus forms that credit could suffer versus other asset classes -
Credit takes confidence from central banks turning hawkish
2 years ago
In a remarkable twist on the previous narrative, credit markets have reacted positively to a hawkish turn in central bank policy even as daily covid cases surge to new heights -
Credit Fundraising: mega funds contribute to record-breaking month as volume hits $39bn
2 years ago
The sheer size of the funds raised in November more than compensated for a drop in the number of funds raised as fundraising volume in credit reached $38.9 billion. This beat September by $2.4 billion to make it the most productive month of credit fundraising in 2021 -
Convergence traders dine out as Europe widens in US absence
2 years ago
Traders betting on Europe / US credit convergence have much to be thankful for on Thursday, with the gap between investment grade CDS spreads having vanished and high yield noticeably reduced -
Loans will be winners in bearish year for credit: BNP Paribas
2 years ago
Floating rate loans are best positioned for a year of widening credit spreads, but high yield bonds will outperform investment grade and EM credit is set for losses, says BNP Paribas in its 2022 outlook -
BlueBay launches Article 8 multi-asset credit fund with Lloyds of London backing
2 years ago
The Article 8 fund will invest in high yield, bank loans, financial capital bonds, structured credit, convertible bonds, emerging markets and developed market investment grade -
Tantrum time: investors brace for Fed to taper bond buying
2 years ago
The US Federal Reserve’s likely decision to curb its $120 billion-a-month bond purchase programme is looming as Creditflux goes to press -
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% -
Points up front: Definitely not an ex-parrot
2 years ago
One of the biggest credit fund launches last month was Arini, led by star credit trader Hamza Lemssouguer
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