Europe
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Demand at a range of maturities shows issuers just how many options are available
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Bondholders consider ramifications of shock uprising for Turkey, Russia and beyond
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Investor shift comes as ending Pepp and soaring volumes pressure spreads
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The US asset manager has cut its stake in the Austrian bank from over 20% to 5% since September
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HMS Securitization: spreads were tighter across the product range on Thursday compared to last year, with good demand spotted in single-B CLO notes ahead of January’s expected slew of supply
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Move marks culmination of Barclays' Brexit plan for syndicate
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Wednesday night exit from insurer was part of strategic move for Natixis
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Investors are pondering the fate of Russian bonds after it despatched military personnel to quell Kazakh unrest
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The sovereign has filled maturity gaps in its debt profile with the first CEE issuance of the year
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London's investment trust market boomed last year amid low interest rates and rising inflation
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Sovereign drums up €55bn of orders for new benchmark despite macro and political worries
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Primary activity in the European securitization market is expected to lift off with deal announcements set to surface on Friday for execution next week