The impact from the war in Ukraine could still disrupt the commercial real estate debt in several ways.
2 min read · 28 March 2022
The firm says it has become the global leader in funds under management thanks to its acquisition of a portfolio of assets from CBAM Partners.
1 min read · 14 March 2022
As the CLO market emerges from the covid-19 crisis in Europe, it is clear the asset class is positioned well to withstand volatility and respond to challenges, says Sharif Anbar-Colas, head of structured credit at Kartesia.
6 min read · 01 February 2022
The fundamentals of floating-rate investments, which have driven record CLO issuance, will keep attracting yield-hungry investors, according to Western Asset Management.
2 min read · 24 November 2021
Active management is crucial in times of market volatility and has allowed collateralised loan obligations to keep flourishing.
2 min read · 11 November 2021
US manager Blackstone now invests more than $150bn on behalf of insurance companies.
3 min read · 10 November 2021
Private credit has had less new firm formation than on the buyout side, with new firms focusing on the lower- to mid-market.
2 min read · 12 October 2021
CIFC’s Steve Vaccaro reflects on building a global credit platform that meets investors’ needs irrespective of market conditions.
8 min read · 01 September 2021
North American-focused funds recovered in the first half, following a difficult year.
1 min read · 31 August 2021
Head of US loans and structured credit says the asset class is one of the few where modelled equity returns are higher than before covid.
2 min read · 04 August 2021