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October 2019

Strategy Caution or Precaution? Fixed income outlook for the second half of 2019

Bond market performance in 2019 has been dominated by a theme of central banks pivoting towards easier policy. In particular, the US Federal Reserve has signalled potential interest rate cuts, marking a meaningful shift compared with the hiking cycle of the past three years (...)

July 2019

News EDF signs 2 bilateral sustainable revolving credit facilities with CA CIB and SG CIB, bringing the total of its sustainability-linked loans to over €5 billion

EDF signed two €300 million sustainability-indexed revolving credit facilities (RCF) which incorporate a pricing adjustment based on EDF’s sustainability performance linked to CO2 emissions and energy efficiency.

June 2019

News Euronext successfully launches a €500 million bond issue, listed on Euronext Dublin

Today Euronext, the leading pan-European exchange in the Eurozone with more than 1,300 listed issuers, launched a €500 million, 10-year bond issue, rated by S&P “A-”, with an annual coupon of 1.125% and listed on Euronext (...)

May 2019

Opinion For Evli, Nordic corporate bonds offer an attractive risk-return profile

The Finish independent asset manager Evli remains very positive on Nordic corporate bonds risk-return profile. With a strong experience on this market, Evli offers to highlight through this news flash the characteristics and the quality of this fixed income (...)

April 2019

Strategy An alternative to traditional Euro Credit Management: a Smart Beta Credit approach incorporating ESG criteria

To achieve long-term returns comparable to those of investment-grade credit but with a consistently lower level of risk, CPR AM has chosen to combine the DTS risk measure with a rigorous specific risk control and structural sources of return to enhance (...)

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