Europe roundtable: ‘You’re left wondering what’s around the corner’

Has the European private debt market had it too good for too long? There are no signs of panic, but nerves are jangling as loose structuring, leverage, competition and political volatility compete to be the asset class’s chief bogeyman.

1 November 201810 mins read

Related articles

alt

Churchill launches capital solutions strategy: Noah Charney to lead

12 August 2026 · 2 mins read

alt

Barings on the key drivers boosting infra debt growth

1 July 2026 · 5 mins read

alt

Gordon Brothers on navigating asset-based lending across geographies

1 July 2026 · 8 mins read

alt

Nuveen: Energy security is steering its pragmatic approach to the energy transition

1 July 2026 · 5 mins read

alt

Mixing things up: How portfolio finance helps LPs find balance

25 June 2026 · 1 min read

alt

NXT Capital: LPs must avoid the hype and focus on the key issues in private debt

1 June 2026 · 6 mins read

alt

Arrow Global on the resilience of Europe’s mid-market lenders

1 June 2026 · 6 mins read