The US has recovered from recession but still faces an enormous debt burden. The onus is now on companies to pick up the slack in the economy and keep bonds buoyant
MP and chairman of the investment committee at Evercore Pan-Asset says bondholders must reconcile themselves to taking losses in any restructuring plan for Greece and other troubled peripherals
While the ongoing Eurozone sovereign crisis continues to dominate the macro picture, it is idiosyncratic risks that investors now need to watch out for. That is the view of Kevin Anderson, global chief...
Insurance Risk and BNY Mellon have conducted a survey to look at how insurance companies are preparing for the new regime and the opportunities and challenges that the changes will bring.
More Alex Monro articles
The SEC and EU have announced tough measures designed to limit the influence of credit ratings on the investment process. Credit magazine talks to the agencies about their efforts to restore their reputations, and asks investors about what role rating...
An increase in floating rate issuance may be the start of a prolonged trend, as investors look for protection against possible interest rate hikes
The Eurozone crisis has already forced three members of the currency union to take EU/IMF bailouts but Spain, the next potential target of investors, is unlikely to follow
We reveal the winners of Credit magazine’s second annual interdealer broker rankings, in a year that highlighted the value of voice broking
This paper discusses a number of diverse considerations that risk managers need to incorporate into their thought processes and recurring procedures if they are to fulfill their role more effectively in the future
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