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    Deal selection critical as credit shrugs off Iran conflict
    Deal selection critical as credit shrugs off Iran conflict
    Credit markets have been remarkably resilient in the face of significant geopolitical and macroeconomic volatility in recent weeks.

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Investment Grade

Dec 09 2020 TwentyFour Blog

We See Value in Lagging Corporate Hybrid Spreads

As we are nearing the end of 2020 and assessing pockets of potential value going into 2021, we have to question the strong rally we have just experienced and assess the attractiveness of the hybrid spread multiple and whether or not we can expect further compression.
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Oct 19 2020 Market Update

Investment Grade Quarterly Update – October 2020

Partner and Portfolio Manager Chris Bowie discusses Q3 performance for the investment grade credit market and provides his outlook for the rest of 2020.
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Sep 25 2020 Market Update

Absolute Return Credit (ARC) is Five

Five years ago we launched a simple strategy with a complicated name. The goal sounded simple: to return 2.5% more than cash, after fees, from a long-only, unlevered credit fund. And to do that with as little volatility as possible (but never being allowed to have more than 3% volatility).
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Aug 10 2020 TwentyFour Blog

The Bond Market Recovery has Outpaced Equities

The clear opportunity within IG credit from our perspective, without having to take excessive risk, is to buy legacy Bank and Insurance IG debt.
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market update
Jul 24 2020 Market Update

Outcome Driven – Quarterly update – July 2020

Partner and Portfolio Manager Chris Bowie discusses Q2 performance for the Outcome Driven strategy and provides his outlook for the rest of 2020.
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Jun 02 2020 Market Update

Outcome Driven Update - June 2020

Partner and Portfolio Manager Chris Bowie provides an update on investment grade credit markets.
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Apr 08 2020 Market Update

Corporate Bond Fund Q1 2020 Update

Q1 2020, or more specifically March 2020, will go down in history as a game changer.
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Apr 07 2020 Market Update

ARC Q1 2020 Update

Q1 2020, or more specifically March 2020, will go down in history as a game changer.
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Mar 18 2020 Market Update

Outcome Driven Fund Update – 18th March 2020

These are clearly unprecedented times. We are seeing large gaps down in asset values, large liquidity preference and sometimes positive correlations between risk assets and risk-off hedges.
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Jan 31 2020 Market Update

Corporate Bond Fund is Five

Chris Bowie outlines the highlights and lowlights for the fund, the successes and challenges, the triumphs and the odd sleepless night.
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Jan 17 2020 Market Update

Outcome Driven - Quarterly update - January 2020

Chris Bowie looks at the performance of the Outcome Driven strategy over the last quarter and provides his outlook for 2020.
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2019-09-05_24_perfect-conditions-for-heavy-bond-issuance_teaser
Sep 05 2019 TwentyFour Blog

Perfect Conditions For Heavy Bond Issuance

September new issuance has opened with a bang as we expected. Volumes are high and the issuer types are diverse, with a slant towards more frequent borrowers who tend to have their ducks permanently lined up in order to jump on favourable conditions. We expect this trend to continue throughout September as bankers push borrowers to take advantage of what could be one of the best opportunities they might see this cycle.
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