Latest news
Latest news
◆ Issuance abounds despite Iran-Israel escalation ◆ European securitization regulatory proposals unveiled ◆ A digital first for sovereign bonds
Busy pipeline but tight spreads prompt caution among some investors
Market to remain small and reliant on bespoke deals, though some are optimistic it can mirror the US middle market’s trajectory
More articles
More articles
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The manager increased the deal size as triple-A spreads show resilience, but mezz widens amid volatility
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Resets and refis dominate the pipeline but managers struggle to push below 150bp
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◆ Euro CLO deals galore ◆ US CLO deals galore ◆ Green CMBS downgraded
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Structural protections should keep defaults and downgrades low amid geopolitical and macro risks
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Primary spreads have so far withstood geopolitical risk and borrower concerns, but the balance is shaking
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Unclear if manager can take market along for the ride
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The manager’s first new issue since 2022 was priced tight across the stack
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Investment grade tranches priced tightly but mezzanine notes came wide
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Even a small tightening could unlock huge dealflows, but investors appear to push back amidst a wave of issuance