By Paul Miron from Msquared Capital Australia’s private credit market is officially irresistible. Global investors that have shown up too late to devour the best...
By Chris Iggo, CIO of AXA IM Core Cast your mind back some 16 to 17 years. Between 29 June 2006 and 18 September 2007,...
Recently I interviewed Christophe Fritsch, Head of Fund Management and Structured Finance at AXA IM Alts. It was great to get a European view...
When we think about the current volatility, we are reminded of a prescient quote from Russian revolutionary and president Vladmir Lenin: “There are decades where...
The US Fed held rates overnight. In this brief Q&A, Robert Tipp, Chief Investment Strategist & Head of Global Bonds, PGIM Fixed Income reviews...
Governments considering blue bonds often have questions about what issuance actually requires. This guide is a practical resource that demystifies the process & allows...
From Matthew Macreadie, Executive Director, Credit Strategy and Portfolio Management - IAM Capital Markets Australia’s inflation problems may see 50bps of further monetary tightening,...
The COVID-19 pandemic upended financial markets and delivered an enormous shock to the global economy. It forced a rapid transition from late cycle into...
Janus Henderson Investors' Credit Risk Monitor tracks key indicators which impact credit portfolios An increased number of corporate defaults is expected in light of high yields...
The CDS trade Credit default swaps (CDS) are derivative instruments which enable investors to hedge the credit spread component of a corporate bond. Buying a...

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