Europe
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Clear but non-traditional window opens after central banks stick to plan
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Investors seen shifting from equities to bonds to lift fixed income markets
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The first batch of European corporate earnings have shown multi-year weaknesses
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Tightly trading bonds look ripe to gap wider as conditions expected to deteriorate
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Better UK inflation data has triggered a rebound for UK property stocks
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Investors forced to accept deals priced close to secondary curve as supply dwindles
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Borrower signs 12 year deal as European high yield spreads tipped to soar
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◆ GlobalCapital's securitization podcast is back ◆ Middle-market CLOs struggle with ratings ◆ How do you make an RMBS 'social'?
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Gruppo BF could raise €300m before the end of the year
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Even lowest rated names only pay up a handful of basis points
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Borrowers push out maturities, printing bigger size across conventional and labelled deals
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Demand proves solid even down the ratings spectrum