While there are pockets of weakness in private credit, concern about a broad-based meltdown among these funds may be ...
Private credit faces a new stress test: rising defaults, redemption pressure and AI threats to software borrowers, plus why reported volatility may be misleading.
Goldman Sachs CEO David Solomon called out private credit risk in his annual shareholder letter. Blue Owl, a private credit ...
Once implemented under International Financial Reporting Standard (IFRS) 9, the new method will bring major changes to banks’ loan classification and provisioning system.
Simply sign up to the European banks myFT Digest -- delivered directly to your inbox. Barclays and Raiffeisen Bank International are among the European lenders making the most aggressive use of a fast ...
Applying The Lancet Diabetes and Endocrinology Commission’s new definition of obesity, a large UK Biobank analysis reported that both preclinical and clinical obesity are common, with the latter ...
Concerns about defaults, particularly among software companies, have spooked investors in the private credit firms that lend to them. By Maureen Farrell Private credit, an industry focused on lending ...
I recently wrote about how Treasuries have come to represent a larger share of the US bond market, prompted by heavy US government debt issuance. Only as an aside did I mention that corporate debt has ...
Risk concerns and falling interest rates are top of mind for many nonbank lenders as the private-credit industry looks to the year ahead. In 2025, credit-fund managers had to contend with high-profile ...
A measure of Oracle Corp.’s credit risk reached a fresh 16-year high Thursday, after the database company’s higher spending on data centers and other equipment raised fresh doubts about how quickly ...
Bottom line: A key measure of credit risk linked to Oracle has climbed to its highest level in three years, and Wall Street analysts warn that pressure is likely to intensify next year unless the ...
As Zephyr’s Market Strategist, Ryan Nauman provides thought-provoking analysis and research on market trends across asset classes, sectors, and regions to help empower better asset allocation strategy ...
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