High income and less sensitivity to credit spread moves underpin the resilience of European AAA CLO performance amid broader market volatility.
Insights
Our latest thinking on the themes shaping today’s investment landscape. Explore timely updates, quarterly features and in-depth analysis straight from our experts.
What Moody’s U.S. credit rating downgrade could mean for the Treasury market, the Fed, and fixed income investors.
A new paradigm founded upon fewer rules-based US policies points to a more uncertain global economy and could even signal US recession, but what does it mean for the emerging markets?
The legacy of the GFC has perpetuated misunderstanding around the European securitised market. What is the reality and how has the sector changed?
We consider what current yields have historically meant for investors.
How can investors weather this storm? We explore how European securitised investments stand amid the volatility.
Are we back to the 1890s with the new “liberation day” tariffs?
First impressions from credit markets to President Trump's Liberation Day.
How investors can fortify bond allocations by seeking out the unique market structures and pricing differentials available in the global corporate credit market.
Here we look at navigating the regulatory frameworks around investing in the European securitised market.
Assessing credit markets as they respond to proposals for increased fiscal spending in Germany and a tonal shift at the ECB.