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How will the “return to normal” impact interest rates?

In this episode, Chief U.S. Economist Lara Rhame and Director, Investment Research Kara O’Halloran provide an overview on the volatility in treasuries and long-term interest rates.

It’s complicated: Leveraged loans and the LIBOR transition

A deep dive into challenges facing the loan market as SOFR’s incorporation gains momentum.

Rising inflation expectations ripple across the markets

Rates and inflation expectations moved higher this week. Our chart looks at why the Fed isn’t concerned, but markets could remain choppy, nonetheless.

Quantifying COVID: Credit markets one year later

Credit markets have largely recovered from the pandemic. How could continued optimism impact investors?

Leveraged credit climbs amid rising rate environments

As Treasury yields jump, flexibility is key. This week’s chart looks at historical returns for credit when yields have risen quickly.

Resetting the opportunity in CLOs

Why these structured credit investments deserve a second look, even in today’s tight spread environment
Showing 571–580 out of 1015 results

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