Latest news
Latest news
CLOs are eschewing loans with even a whiff of credit risk, creating a gap in the market for wily investors
Manager takes advantage of tight mezzanine liability spreads to reset CLO after its reinvestment period ended
The first reset of a European private credit CLO, the rise of CFOs, and the plight of US ABS issuer Extenet
More articles
More articles
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CLO portfolio underweight on high-risk sectors like software and chemicals
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Deal volume drops to 215 from 296 last year, JP Morgan says
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Manager opts for low software exposure in difficult environment for CLO issuance
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Wider liabilities obstruct the move to safer assets
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Managers pause deals as spreads widen, but swift resolution is still priced in
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Mangers expect investor activity to pick up after pause
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Managers are relying on captive equity funds due to worsening arbitrage
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Investors see conditions as 'fraught with risk'
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Markets expect the Fed to hold rates this time, but are alert to signs of increases coming