In a dislocated market, there is a wider band of relative value and more opportunity to optimise risk-adjusted return through selectivity, says Northleaf’s David Ross.
5 min read · 01 September 2022
Managers who continue to work constructively with their underlying portfolio and are increasingly selective on new investments will emerge from this latest challenge strong, says Keith Miller, global head of private debt at Sanne, an Apex Group company.
7 min read · 01 September 2022
Manager makes commitment alongside two industry veterans to capture a piece of the rocketing music royalty business.
2 min read · 08 August 2022
The asset-based fund has attracted nearly half of its target in about six months.
1 min read · 28 July 2022
The litigation finance market is growing in popularity, with deep-pocketed LPs looking for ways to deploy meaningful amounts of capital. But it’s not for the faint-hearted.
3 min read · 07 July 2022
NAV structures are now able to suit both borrowers’ goals and investors’ yield targets, but some are worried certain structures go too far, including one that essentially gives borrowers equity at the cost of debt.
4 min read · 06 July 2022
It’s a type of financing that is becoming increasingly popular but those using it for the first time need to familiarise themselves with structural idiosyncrasies
6 min read · 01 July 2022
The fund that pursues asset-backed opportunistic strategy was oversubscribed.
1 min read · 13 June 2022
The UK’s Environment Agency Pension Fund is backing Lombard Odier’s climate debt fund as CIO Graham Cook says that transition financing ‘is largely going to come from debt’.
3 min read · 13 June 2022