Inside: Mastering the game – a 9-part investment guide to succeeding in distressed strategies, from restructurings to reacting to interest rate changes; Expert analysis from industry leaders; And much more…
1 min read · 01 April 2026
The next few months could represent a crunch point for opportunistic and distressed credit managers as long-term interest rate challenges hit portfolios.
4 min read · 01 April 2026
Why understanding the reasons behind a company’s struggles – and whether they are cyclical or structural – is crucial to evaluating investment opportunities, our nine-part strategy guide explores.
4 min read · 01 April 2026
Resilience is the name of the game when it comes to organising downside protection in distressed strategies.
2 min read · 01 April 2026
The ways in which lenders evaluate their capital structures are being scrutinised by LPs when deciding between opportunities in this competitive segment of the market.
4 min read · 01 April 2026
Diversification across sectors and asset classes is a key consideration for opportunistic and distressed credit managers, but approaches to portfolio construction differ depending on allocator appetite.
4 min read · 01 April 2026
Regulatory and legal considerations should be embedded in underwriting from the outset – particularly when operating across multiple jurisdictions.
2 min read · 01 April 2026
If you’re wondering which investors might be keen on co-investments, here are six looking to partner up.
4 min read · 01 April 2026
Geopolitical turmoil, higher interest rates and the impending maturity wall are causing a surge in appetite for opportunistic and distressed debt.
4 min read · 01 April 2026
The distressed opportunity set is driven in part by an estimated $936bn of loans slated to mature in 2026.
4 min read · 01 April 2026