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    CLOs are finally pricing the tail
    CLOs are finally pricing the tail
    For some time now, collateralised loan obligations (CLOs) have in our view been one of the standout risk-adjusted opportunities in all of fixed income, and in recent years (including this one) their performance has lived up to that billing.

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TwentyFour

11 Dec 2019 TwentyFour Blog

European HY Default Rates Doubling No Reason to Panic

"Where defaults get to exactly depends on a few things, but we can certainly analyse where we think the problem areas could be, whether cracks are already starting to appear, and what investors might do to protect themselves."
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2019-12_2020-outlook_tfoutlook_teaser
9 Dec 2019 Outlook

Fixed Income 2020: A Brave Old World

Twelve months ago, as we wrote our annual review and forecast for 2019, backing 10-year German government bonds that were yielding just 0.24% at the time to perform would have been a brave call.
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2019-12-04_24_trade-war-volatility-maintains-grip-on-bonds_teaser
4 Dec 2019 TwentyFour Blog

Trade war volatility maintains grip on bonds

By now investors should be getting used to the ever more frequent hiccups in the trade negotiations between the US and the rest of the world.
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26 Nov 2019 TwentyFour Blog

Data decline eases for Germany and US

"In some parts of the global economy, we might be seeing a bottom in terms of low activity levels." TwentyFour's Felipe Villarroel discusses the factors behind these improving trends.
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2019-11-22_24_nibs-leading-the-way-in-esg_teaser
22 Nov 2019 TwentyFour Blog

NIBC leading the way in ESG

“NIBC, has been involved in ESG/CSR focused lending in Europe for some time, and is the first manager to issue what we might call an ESG CLO." Elena Rinaldi discusses why in terms of ESG, NIBC would receive a high score from us.
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2019-11-21_24_younited-performance-shows-risks-in-fintech-abs_teaser
21 Nov 2019 TwentyFour Blog

Younited performance shows risks in Fintech ABS

"Younited’s funding strategy is as innovative as its business model... In May this year, the company successfully issued its first #ABS backed by French consumer loans" TwentyFour's Ben Hayward discusses.
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2019-11-20_24_fitch-keeps-at1-investors-on-their-toes_teaser
20 Nov 2019 TwentyFour Blog

Fitch keeps AT1 investors on their toes

"We have been participants in the Additional Tier 1 (AT1) sector since its introduction in 2013, albeit with a high degree of selectivity, but the risk-reward has been obvious to us." Gary Kirk discusses the latest AT1 news from Fitch
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2019-11-18_24_ig-demand-would-be-key-to-walgreens-buyout_teaser
15 Nov 2019 TwentyFour Blog

IG demand would be key to Walgreens buyout

At this late point in the cycle, fixed income investors are on high alert for signs of potential excess in the capital markets, and a proposal for potentially the biggest leveraged buyout (LBO) in history would certainly fall into that category.
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2019-11-21_wp_24_sustainable-credit-a-free-lunch_teaser
13 Nov 2019 White Paper

Sustainable credit: A free lunch?

At TwentyFour Asset Management we believe Environmental, Social and Governance (ESG) factors can have an influence on the value of our investments, and we have recently formalised our approach to these risks by integrating an ESG framework throughout the firm’s investment process, across all strategies.
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2019-11-06_us-corporate-credit-demand-slows-again_teaser
6 Nov 2019 TwentyFour Blog

US corporate credit demand slows again

The Senior Loan Officer Opinion Survey, combined with financial results from the banks, is probably still the most useful tool we have for gauging the cycle’s life expectancy.
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2019-11-05_24_risk-well-underpinned-going-into-year-end_teaser
5 Nov 2019 TwentyFour Blog

Risk well underpinned going into year-end

A number of threats to risk assets have dissipated and could become positive tail risks for markets moving into 2020.
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2019-10-30_24_what-does-us-loan-underperformance-mean-for-bondholders_teaser
30 Oct 2019 TwentyFour Blog

What Does US Loan Underperformance Mean for Bondholders?

"The European CLO market is much smaller, but given the US is further ahead in the economic cycle, the US market can provide a good indication of what might happen in Europe."
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