Volatile market conditions may usher in another period of fundraising for dislocation funds.
2 min read · 10 March 2022
Is there systemic risk in private credit? And, if so, what are the chances of it spilling over into the broader economy?
3 min read · 01 February 2022
Transaction volume for full year hits all-time high, rising 88% to nearly $809 billion.
2 min read · 27 January 2022
In a time when supply has been unable to meet demand, lenders have been kept on their toes finding innovative ways to oil the wheels of the economy. Bob Dean and Charles Sharf of White Oak Commercial Finance explore some key trends.
4 min read · 17 January 2022
In our latest video on the topic, we discover that Emmanuel Deblanc of Allianz Global Investors has high hopes for the ability of private markets firms to make the adaptations needed to accommodate changing circumstances.
1 min read · 07 December 2021
Central banks are concerned that the fear of inflation – rather than the reality of it – may be creating an unecessarily challenging environment. We speak with ICG’s economic expert Nick Brooks.
1 min read · 23 November 2021
Economic recovery has seen inflationary concerns return for the first time in more than a decade, meaning managers must prepare for future risks. But opinion is divided, with some believing deflation is a bigger long-term concern. By John Bakie and Robin Blumenthal
10 min read · 01 October 2021
UK economic data has produced something of a shock, highlighting the need for private debt managers to consider the consequences of changed circumstances.
2 min read · 16 September 2021
As the global economy begins to recover from the covid-19 pandemic, the old adversary of inflation returns. Allianz Global Investors’ Emmanuel Deblanc looks at the impact on private markets.
3 min read · 09 September 2021
The current debate about whether the inflation spike we are seeing is ‘transitory’ should be reframed as ‘reflation vs sustained inflation’, according to Commonfund’s Ryan Driscoll.
3 min read · 01 July 2021