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    US life insurers feel private credit scrutiny
    US life insurers feel private credit scrutiny
    A series of recent developments has put US life insurers with significant private-credit linkages under greater regulatory and investor scrutiny. While we believe this could create pressure for some US names, we see limited evidence that the concerns are spilling over into European life insurers.

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Insights Topic

Multi-Sector Bonds

TwentyFour
Jan 13 2021 TwentyFour Blog

Where Yields Are Higher Than High Yield

At the moment CLO spreads are tightening, as they are right across credit. However, we haven’t had any CLO primary deals come to market so far in 2021, so we are operating in a bit of an informational vacuum, at which point these cross-asset class comparisons can be useful.
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TwentyFour
24_2021-01-12_blog_fast-moving-cycle_teaser
Jan 12 2021 TwentyFour Blog

Fast Moving Cycle

As we have said many times over the past few months, this cycle is likely to be remembered (among other reasons) as being exceptional for its unprecedented momentum.
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TwentyFour
Jan 07 2021 Market Update

Our view on high yield defaults

In his latest video, George Curtis discusses our views on high yield defaults over the last few months and what he thinks we can expect in 2021
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TwentyFour
Dec 07 2020 TwentyFour Blog

Default Outlook Points to Further HY Tightening

We have now retraced some 90% of the March widening in European high yield (on a spread basis and relative to the January tights), a recovery trend we expect to continue as economies open up and demand bounces back. 
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Dec 07 2020 Market Update

Why credit is the only game in town for bond income

To mark the fifth anniversary of his firm’s Strategic Income global bond strategy, TwentyFour Asset Management chief executive, Mark Holman, looks at how the COVID-19 crisis has transformed the bond markets in 2020, and where he believes investors should be looking for value heading into 2021.
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TwentyFour
Oct 20 2020 TwentyFour Blog

Expect Winners and Losers in Last Window of 2020

Unlike the past six months, where nearly all new deals performed well in the secondary market, from here on in that is far from guaranteed. Expect winners and losers.
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Oct 19 2020 Market Update

Multi-Sector Bond Quarterly Update – October 2020

George Curtis discusses Q3 performance for credit markets and provides his outlook for the rest of the year.
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TwentyFour
Sep 22 2020 TwentyFour Blog

Will The Latest Dip Be Bought?

Overall, in our view there may be some temporary volatility ahead which investors can try to sidestep or even take advantage of, but it’s probably not worth trying to be too cute as our medium term outlook is still constructive.
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TwentyFour
Aug 11 2020 TwentyFour Blog

The US Bond Market Recovery has also Outpaced Equities…with a Twist

Yesterday we showed that for European investors, what we speculated on back in March has come true; that the bond market did recover its losses far more quickly than equities, as shown below.
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TwentyFour
Aug 11 2020 TwentyFour Blog

Ratings Migration Pointing to Lower Defaults

A trend of negative ratings migration has historically been a consistent precursor for a pick up in the default rate of publicly rated debt.
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TwentyFour
Aug 07 2020 TwentyFour Blog

Starved of Income

With BP slashing its dividend this week, we have now seen 52 of the FTSE 100 companies suspend or cut their dividends this year. 
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Jul 24 2020 Market Update

Strategic Income – Quarterly update – July 2020

Partner and Portfolio Manager Eoin Walsh discusses Q2 performance for the Strategic Income strategy and provides his outlook for 2020.
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