David Evans
Follow David
Articles by David Evans
Investors concerned over German banks' exposure to southern Europe
Investors and economists have identified German banks’ exposure to Europe’s indebted peripheral sovereigns as a potential risk to state finances.
German economic strength 'a fallacy': Charles Dumas interview
The Lombard Street Research chairman tells Credit the German economy is far weaker than has been supposed.
Eastern Europe credit investors turn their backs on the Balkans and head for CIS, Poland and Czech Rep
Events in the Eurozone have put the brakes on eastern Europe’s strong recovery from the financial crisis, but bond investors continue to identify opportunities in the region, particularly amongst the larger economies.
Korean bonds stay strong, despite rising tensions
Sound economic fundamentals have meant South Korea’s sovereign bond yields have remained low despite the political standoff on the Korean peninsula.
Eurozone contagion fears hit eastern Europe as investors seek safe havens
Bond investors are looking to the relative safety of Poland and the Czech Republic as the Eurozone debt crisis takes toll on eastern Europe’s smaller economies.
Fiscal austerity measures could hit corporate credit, analysts warn
As governments across Europe announce austerity measures designed to rein in deficits, sovereign and corporate bond investors are divided over the scale and timing of the cuts.
Sovereign ratings on UK, US, Japan under fire from credit investors
After Greece, Portugal and Spain suffered rating downgrades in April due to escalating fiscal problems, investors ask if the same standards are being applied to advanced economies.
Investors dispute claims sovereign downgrades were hasty
Senior EU officials may have criticised the rating agencies for reacting too aggressively to Europe’s fiscal woes, but investors say the reverse is true and the agencies remain behind the curve.
Russia $5.5bn bond establishes benchmark curve
The Russian Federation returned to the international markets last month for the first time since its 1998 default, potentially paving the way for corporate issuers to follow.
Yields on Africa debt drive new demand from credit investors
Risks to investment include high inflation and corporate governance problems in many African countries.
Africa must not become overly reliant on foreign investment: Jacqueline Irving interview
Local bond markets can provide sub-Saharan Africa with much-needed financing, but countries must guard against over-borrowing.
International Finance Corporation reveals capital market plans: Credit interview
Treasurer Nina Shapiro and deputy treasurer John Borthwick outline how the IFC will aid capital markets of developing countries.