Issues
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UK’s new rule is principles-based, EU may go harder
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◆ Pair met investors last week ◆ Volatility dampens covered bond supply ◆ Market would like ‘frequent issuer’ reopener
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It was the best of times, it was the worst of times to execute a deal mandate
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‘Notable gap’ separates Ukraine and its bondholders, says Barclays economist
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London-listed infra fund wants targets to be ‘meaningful’ and ‘challenging’
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Departure part of redundancy round in May
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◆ Politics panic slaps SSAs, FIG but what of corporate bonds? ◆ EU denied its wish ◆ Introducing Primary Market Monitor
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Revolving credit facilities are getting longer, but with exceptions
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Sporadic and debut borrowers must overcome election volatility to seal funding
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Bankers identify several reasons why FIG issuers deserted the primary market, unlike their corporate peers
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Outgoing head of UBS Investment Bank has steered it through tumultuous times
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Many FIG issuers were quick to abandon the primary market this week, but it could get a lot worse