Search our site

Showing 1201–1210 out of 1733 results

Credit market commentary: August 2018

High-duration fixed income, such as the Barclays Agg, performed well in August due to falling 10-year U.S. Treasury yields. Strong corporate earnings and U.S. economic data provided tailwinds for HY Bonds and Senior Secured Loans.

Credit market commentary: April 2023

Following an extraordinarily volatile March, credit markets turned higher amid the more settled macro environment.

Credit market commentary: April 2022

Markets continued to grapple with volatility in April, as rising interest rates and broader macroeconomic uncertainty sent most major asset classes sharply lower.

Credit market commentary: April 2021

The duration-sensitive Barclays Agg posted its first positive return of the year in April as long-term interest rates drifted lower.

Credit market commentary: April 2019

Leveraged credit rises in April | Leveraged credit yields tighten, loans trade tight to high yield

Credit market commentary: April 2018

As interest rates rose, high yield bonds and senior secured loans outperformed more duration-sensitive asset classes.

Decoding default risk: What are credit markets telling us?

While the economic environment is unclear, we believe we can glean valuable insights about credit markets from implied market default rates.
Showing 1201–1210 out of 1733 results

Search our site