Free content
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Hit €2bn retail bond had ‘communication value’ on oil company’s stance on emissions and exploration
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Securitization has the potential to help the green transition, but the time line is tight
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Numerous explanations abound for why appetite for risk is so strong but the truth may be more nuanced
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- What’s up with ECM? - European politicians suddenly love securitization again - Adani versus Hindenburg Research and what it means for Adani’s banks
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Complex methodologies have got us nowhere - perhaps deliberately
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Issuers should take advantage of the favourable funding conditions — but keep offering concessions as they do
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Buying back debt cheaply does nothing for long-term debt sustainability nor bond market access
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A European IPO market without cornerstones is less secure for issuers but better overall
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Uncertainty within the industry could lead disgruntled bankers to look elsewhere
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— Mighty Earth vs JBS: how sustainable is the SLB market? — How the FIG and corporate bond markets are changing this year — What can put a stop to record bond issuance
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Negative real rates and a borrowing binge spell trouble