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Upper mid-market firms eschew ‘exciting’ stories as cracks emerge in European private credit
Pharmaceuticals and energy transition also ripe sectors for M&A
Borrowers moving between the two markets create opportunities for both
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Primary spreads have so far withstood geopolitical risk and borrower concerns, but the balance is shaking
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The manager’s first new issue since 2022 was priced tight across the stack
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The way PE firms operate is changing and banks are being forced to adapt
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Even a small tightening could unlock huge dealflows, but investors appear to push back amidst a wave of issuance
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Shareholder Blue Owl will take 10% of the private equity firm's Amsterdam flotation
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Approach to credit monitoring matters more than triple-C bucket size as market vulnerability is expected to drive manager tiering
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