Portfolio compositions are evolving in Europe to give greater weight to real asset-backed credit. Accessing that opportunity requires on-the-ground expertise, say Arrow Global’s Zach Lewy and John Calvao.
7 min read · 03 October 2022
There are many reasons to favour the smaller cap deals in times of economic uncertainty, argue Klaus Petersen and David Wilmot, founding partners, and Louis-Matthieu Heck, partner, at Apera Asset Management.
8 min read · 03 October 2022
Dislocation is creating opportunities for lenders and driving changes to fund structures, say Luke McDougall, co-chair of the global finance practice, and Diala Minott, private funds partner, at Paul Hastings.
7 min read · 03 October 2022
Direct lenders in Europe have gained ground in the absence of syndicated lenders, and are unlikely to look back, says Adam Wheeler, co-head of global private finance at Barings.
5 min read · 03 October 2022
With energy security top of mind across Europe, Scott Lawrence and Claudio Vescovo of Glennmont Partners – a Nuveen company – discuss how they are supporting the energy transition in the region.
4 min read · 01 September 2022
Infrastructure debt managers are well positioned to navigate macro challenges, argues Augustin Segard, head of junior infrastructure debt at Schroders Capital.
5 min read · 01 September 2022
A volatile macroeconomic environment presents both risks and opportunities for private debt – but five influential figures in the US private debt industry tell us that the asset class remains on a growth trajectory.
10 min read · 01 September 2022
An over-reliance on upper mid-market deals may leave some platforms exposed as liquidity dries up, warns Barings’ Ian Fowler.
6 min read · 01 September 2022
Volatile markets create opportunities for direct lenders that are appropriately funded and flexible, says Brent Humphries, president of AB Private Credit Investors.
7 min read · 01 September 2022