The pension fund looks to deal with under-funded issue through private debt.
1 min read · 03 October 2017
The asset manager’s latest CLO will mark the first investment from its partnership with a large Canadian pension plan.
2 min read · 02 October 2017
‘Fake covenants’ and other signs of woe in today’s credit market call for selective investing, said David Golub.
2 min read · 02 October 2017
The mezzanine investment comes from the manager’s recently closed third fund, which closed on its $2.5bn hard-cap.
2 min read · 02 October 2017
With $119.5bn already raised by the end of the third quarter, this year seems almost certain to move past the previous peak of $130.1bn in 2013.
2 min read · 02 October 2017
The firm, which launched late last year in London, has brought in two associates with one of them focusing on opportunities from the firm’s new France office.
1 min read · 02 October 2017
Energy price falls, stiff regulation and compressed yields. The CLO market has taken on all these threats and seen them off – for now at least.
5 min read · 02 October 2017
What began as a search to replace a minority owner resulted in the Los Angeles-based real estate debt fund manager being sold in its entirety.
2 min read · 02 October 2017
One conference attendee noted rising scepticism about private credit and the crowded market among those that have been involved in the asset class for a ‘meaningful amount of time’.
4 min read · 29 September 2017
A ‘hazardous market’ of high leverage and high pricings is a sign to invest in a low volatility asset, according to panellists at PDI’s New York Forum.
2 min read · 29 September 2017