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Triple-A tranches are edging tighter basis point by basis point
Minimising tail risk is a priority for the new manager, said Jacob Walton, co-head of euro CLOs
Investors shrug off geopolitical concerns after volatility
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Lawyers and managers are working to overcome hurdles in Europe as US ETFs start anchoring primary deals
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CLO managers welcome attempt to limit primary settlement period to 10 days
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In European mergers and acquisitions, UBS is enjoying its best run for years, especially in the UK, as bankers from the paired firms work together
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Volatility in the Middle East has limited impact on mezz as Aqueduct gets the tightest print of the year
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As the spread discount for refis narrows, managers are likely to head straight for the reset
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Hires are in time for 'robust' growth for the firm
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The manager increased the deal size as triple-A spreads show resilience, but mezz widens amid volatility
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Resets and refis dominate the pipeline but managers struggle to push below 150bp
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Structural protections should keep defaults and downgrades low amid geopolitical and macro risks
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How to get rid of old friends
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Using sleeping SLL structures could help companies cope when they need more time
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Primary spreads have so far withstood geopolitical risk and borrower concerns, but the balance is shaking
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