High yield bonds and loans have proven their ability to weather uncertainty and look well-suited for an environment in which rates, and potential rate volatility, may remain front-and-center.
In the latest episode of Streaming Income, Head of Portfolio Finance, Dadong Yan helps to define and de-mystify the growing opportunity in Portfolio Finance.
Our investment professionals explore the trends, risks, and opportunities likely to shape global direct lending markets in the year ahead.
Portfolio finance offers a number of potential benefits for insurers seeking to generate enhanced spreads at scale in a growing market.
EM local debt has historically offered higher yields than the comparable U.S. risk-free rate, and recently has begun to exhibit more stability as well—which presents a compelling case for investors.
In an environment characterized by change, our real estate debt and equity experts weigh in on the challenges and opportunities investors are likely to encounter across the global real estate markets in the year ahead.
The European real estate market is at the beginning of a new property cycle. Although the landscape is not devoid of risks, there are three key reasons why real estate debt presents a compelling investment opportunity—but a selective approach across sectors is crucial.
Where is direct lending headed in 2025? Our experts weigh in on a number of topics—from the implications of an increasingly competitive market to the interplay between public and private markets (and what that means going forward).
What's in store for global real estate markets in 2025? Our real estate debt and equity experts explore the key themes, risks and opportunities they’re thinking about for the year ahead.
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