Credit – Page 5
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Features
Briefing: Credit-risk niche gains interest
In a world of prolonged low interest rates, institutional investors are scouring different pockets of the investment landscape to generate additional returns. One area is capital regulatory transactions, which are far from new but are being put under the microscope for their potential as part of an alternative credit portfolio. However, these transactions can be more complex than other alternative credit asset classes and require specialist expertise, skills and understanding.
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Asset Class Reports
Multi-asset credit: Switching tactics to deal with volatility
MAC strategies allow investors to shift investments tactically to capitalise on a wide range of niche markets
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Asset Class Reports
Asset class report – Fixed income & credit
As the world still grapples with the implications of the COVID-19 pandemic, credit investors continue their search for attractive yields in an environment where liquidity, even for long-term investors, could become critical. In this report, we look at different aspects of the fixed income & credit universe, including multi-asset credit strategies, the changing US high yield market, and the opportunities for institutional investors in trade and supply-chain finance.
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News
Norway’s Government Bond Fund winds down some activities
Established last year as a COVID-crisis measure, the fund is now reining in activity for safest borrowers
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Asset Class Reports
Hedge funds and distressed debt: Competition for assets will be fierce
Hedge funds will have to compete with private equity and credit funds for distressed opportunities following the pandemic
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News
Danish FSA warns pension funds of weaker illiquid credit loan terms
Pension providers should note “any possible structural shifts in the loan markets”, says watchdog
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News
Danish watchdog calls out pension fund P+ for illiquid credit failures
FSA found lack of limits could have allowed fund to hold too much in the asset type
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Asset Class Reports
Asset class report – Investment grade credit
The US credit market is heading for change under new President Joe Biden’s administration
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Asset Class Reports
Investment Grade Credit: Always a demand for quality
Capital markets are fluctuating between optimism and pessimism
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News
Sampension: November rally lifted YTD returns into solid plus zone
News of COVID-19 vaccine successes propelled Danish firm’s market-rate pension return to 4.17% year-to-date
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News
LGPS Central names managers for multi-asset credit fund
Each manager to get half of total £660m mandate
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News
Norway’s domestic SWF gets specific on ESG demands for bonds
Folketrygdfondet hopes update of expectations document will aid risk pricing
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News
Mandate roundup: LGPS pool names MAC specialist managers
Plus: Swiss plan tenders out $200-400m emerging market small cap mandate, Record lands $8bn mandate
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News
High hedge fund allocation stunts Varma’s Q2 recovery
Finnish pensions insurance giant sees 5.7% H1 investment loss – falling short of peers
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News
WTW: Passive managers ‘disappoint’ as stewards of fixed income
Stewardship in fixed income is a position of significant influence, says consultancy
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News
Brunel PP seeks managers for £1.5bn MAC, £1.2bn corporate bond funds
The MAC portfolio will invest in high yield corporate bonds, bank loans, asset-backed securities and emerging market debt
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News
BTPS keen for big voice in ESG/fixed income debate, says CEO
Credit rating agencies should step up their game on ESG, Nilsson says
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Opinion Pieces
Growing debt levels spell trouble
Credit investors would be wise to reflect upon the growing debt burden weighing on the global economy.
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Asset Class Reports
Credit: Investment grade credit markets in a pandemic
The COVID crisis has brought profound changes to the credit markets
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Asset Class Reports
Credit: High yield managers embrace uncertainty
Managers are constructive about high yield, loans and alternative credit despite the volatile outlook