Structured products
Credit Institute event: The outlook for high yield
June’s meeting of Credit Institute gave investors the opportunity to discuss the key themes affecting the high yield market, including the Eurozone sovereign crisis and refinancing risk.
Economic concerns keep credit trading activity flat
Normal service appears to be a long way from resuming in credit, as macroeconomic uncertainty continues to grip the financial markets.
High yield spreads no longer correlated to default rates: Jerry Tempelman column
High yield spreads are more highly correlated to the VIX index than to default rates.
The FDIC’s only safe harbour is from itself: Joseph Mason column
The US Court of Appeals has ruled against the FDIC in a case that gave rise to the regulator’s original safe harbour provisions for securitisation deals.
Is the CFA qualification worth sweet FA? Caveat Emptor column
Chartered Financial Analyst, the qualification that is de rigueur for any aspiring fund manager, fails to address the principles of proper risk management.
Deutsche Bank and Standard Chartered issue lower tier 2 paper
Lower tier 2 issues from Deutsche Bank and Standard Chartered in June proved that demand is there for subordinated paper from financial institutions.
German economy under pressure from bank losses and euro crisis
Bond investors have snapped up German Bunds in recent weeks, with Europe’s sovereign debt crisis triggering a flight to quality. But is Germany really the safe haven it appears? Credit explores potential vulnerabilities in the German economy and assesses…
German agency KfW maintains its €75bn issuance target for 2010
The head of capital markets at KfW, Horst Seissinger, explains how building long-term relationships with investors has helped the bank achieve its funding targets even during periods of extreme volatility in the financial markets.
US credit outlook: Pramerica, BlackRock & Alliance Bernstein
On a recent visit to New York, Credit met up with senior figures at three of the largest fixed income asset managers globally to hear their thoughts on where the US credit market is heading next and what the risks are for investors.
Issuance slowdown raises refinancing fears for high yield borrowers
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.
Corporates with emerging market operations prove attractive to bond investors
As growth in developing economies – particularly the Bric countries of Brazil, Russia, India and China – outstrips that of the developed world, companies with sizeable emerging market exposure are looking increasingly attractive to bond investors.
German recovery faces constraints
A constrained recovery
Market Analysis: Hybrid and sub debt risk
Investors in bank subordinated debt and hybrid securities could be exposed to elevated credit risks if regulators push ahead with proposals whereby creditors bear losses before public sector support is given, says Fitch Ratings.
Exchange-traded product volumes up 13% in 2010
Fixed-income exchange-traded products made money, investors turned to gold and a decline in assets followed falls in the equity markets in the first half of this year
Australia's ETF market set to double by 2012, says iShares
ETF provider iShares predicts that ETF investment in Australia will double by 2012 as investors seek more transparency, liquidity and diversification
HSBC survey: Hong Kong individuals most affluent in Asia
Hong Kong affluent individuals hold average liquid assets of $301,289, almost double Singapore’s at $183,145 and Taiwan’s at $155,162.
Joshi joins Deutsche Bank as head of Emea Equities
After leaving Barclays Capital last Friday, Dixit Joshi, formerly head of equities for Emea and Asia-Pacific at the UK bank has joined Deutsche Bank in a similar role
Amundi targets institutional demand with Eurostoxx ETFs on NYSE Euronext
Amundi has listed two more ETFs on NYSE Euronext in Paris in response to demand from institutional clients
Lookback: The Which way
An irreverent take on events of the last month, including the Which confusion over structured products, ETF trading, S&P's benchmarks, a Swiss preference for capital protection and more capital gains tax in the UK