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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.
COVID-19 widens reach into U.S., causing market volatility to surge
COVID-19 broadened its reach into the U.S. this week, sparking the sharpest equity market sell-off in a decade.
Showing 641–650 out of 1074 results