Refinancing
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Rich Farley joins from rival, Cahill Gordon & Reindel
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With a debt maturity wall looming, issuers should not assume good access to markets today will still be available next year, said participants at a press conference in London
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Charles Maulino, head of global energy & commodities coverage, Asia-Pacific at Natixis, speaks exclusively with Lianna Brinded about the evolution of energy and commodities financing and hedging strategies...
Find the information you need in articles from across Risk.net on Basel III, the Dodd-Frank Act, and Solvency II.
More Refinancing articles
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The European Central Bank has looked to tighten the eligibility criteria for asset-backed securities (ABSs) it will accept as part of its credit operations. In response, cash-strapped banks are looking for other ways to put their ABS portfolios to work...
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Refinancing risk dwarfed by Solvency II’s impact on insurer appetite for corporate debt
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Any withdrawal of liquidity by the ECB at year-end would cause major uncertainty, say bankers
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Corporate bond issuance plummeted in May, with issuers and investors wary of the effects of the ongoing sovereign crisis on the credit markets. Faced with an unprecedented refinancing wall, it may be high yield borrowers who suffer most.
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Refinancing risk increases for Spanish banks as credit default swap (CDS) spreads widen dramatically for a third day running.
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Refinancing will absorb most of the potential funding gap in the US leveraged finance market over the next five years, according to a new report by Fitch Ratings. In the report, Bridging the Refinancing Cliff, Fitch says that although recent refinancing...
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Struggling European countries may end their support for banks they view as having no systemic importance, warned a Fitch Ratings analyst at the agency’s 2010 credit outlook conference in London on January 19. “We’re becoming increasingly concerned...
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