European property developers are looking for more flexible forms of finance, which plays to the strength of private debt, say Fiera Real Estate’s David Renshaw and Richard Howe.
7 min read · 02 May 2023
Facing an unprecedented set of external factors, direct lenders are being forced to think differently, say Fidelity International’s Marc Preiser and Raphael Charon.
7 min read · 02 May 2023
The country is now the most active private debt market in Europe.
2 min read · 02 May 2023
LPs are asking more questions about ESG, and the EU’s legal framework has a big part to play in driving those discussions, says Coralie De Maesschalck, head of CSR and ESG at Kartesia.
7 min read · 02 May 2023
Banks remain strong in Scandinavia, so debt funds are having to learn to compete on their own terms.
2 min read · 02 May 2023
The bulk of underlying collateral in Europe is real estate – a useful form of protection in inflationary times, says John Calvao, fund principal at Arrow Global.
7 min read · 02 May 2023
M&A activity may have slowed but the European market continues to offer the potential for attractive returns, says Adam Wheeler, co-head of Barings’ Global Private Finance Group.
5 min read · 02 May 2023
Private funds are taking a larger share from banks as deal volumes grow.
3 min read · 02 May 2023
You don’t need mass distress to make compelling risk-adjusted returns in Europe, says Elad Shraga, partner and chief investment officer at Signal Capital.
8 min read · 02 May 2023