4 Dec 2024 Market Update In bank capital, it’s quality over quantity It is important to understand the historical context behind “global” capital rules, and why they differ for EU and US banks. Read more
2 Dec 2024 Market Update Asset-backed finance (ABF) case study: Qander Consumer Finance An asset-backed finance (ABF) investment backed by a portfolio of Dutch unsecured consumer loans originated by Qander Consumer Finance. Read more
29 Nov 2024 TwentyFour Blog Eurozone inflation, growth and ECB speak Thanksgiving week is usually a lighter one when it comes to data releases in the US. Apart from a PCE and core PCE inflation numbers that came in line with expectations at 2.3% and 2.8% respectively, there has not been much data to move the dial. In Europe, on the other hand, there have been a few data releases and central banker interviews that are worth commenting on. Read more
27 Nov 2024 TwentyFour Blog Heimstaden shows rate cuts are reviving real estate Real estate, and in particular real estate investment trusts (REITs), was one of the first sectors to come under market scrutiny as interest rates rose, but a strong return to market from Swedish real estate company Heimstaden on Tuesday was the latest sign that expected rate cuts in Europe are easing pressure on the industry. Read more
21 Nov 2024 TwentyFour Blog Is payday over for German workers? The European Central Bank (ECB) on Wednesday published its quarterly negotiated wages indicator for Q3, and while this is only one indicator the ECB uses to determine wage inflation across the Eurozone, the growth rate of 5.4% was the highest since the early 1990s. Read more
19 Nov 2024 TwentyFour Blog European banks on front foot heading into 2025 With most European banks having now delivered their Q3 2024 results, we believe the sector is firmly on the front foot moving into 2025. Read more
18 Nov 2024 TwentyFour Blog Debt brake putting the brakes on Germany’s economy The collapse of Germany’s ruling coalition just after the US election has left the Eurozone’s largest economy in political limbo at a difficult time. Read more
14 Nov 2024 Flash Fixed Income Flash Fixed Income: Trump to reshape rate cuts in US and Europe In this month's Flash Fixed Income, we look at how bond markets are reacting to Donald Trump's victory in the US election. With Trump's stated policies widely regarded as being inflationary, we expect a bigger divergence in the path for interest rate cuts between the US and Europe that might favour higher quality European credit. Read more
13 Nov 2024 TwentyFour Blog Should investors care about negative swap spreads? The relationship between government bond yields and swap rates – otherwise known as the swap spread – has been increasingly in focus, with the market’s attention turning to Europe last week as the 10-year German Bund yield traded higher than the 10-year euro swap rate for the first time ever. Read more
8 Nov 2024 TwentyFour Blog Green shoots in European solar ABS In the past 10 days the European asset-backed securities (ABS) market has welcomed five debut issuers across multiple jurisdictions and asset classes, with the most notable being Europe’s first public solar green ABS from Enpal. Read more
5 Nov 2024 TwentyFour Blog Engine trouble: VW's struggles reflect Germany’s economic woes The challenges facing the German economy are well-documented, with growth remaining sluggish and Purchasing Managers' Indexes (PMIs) - a reliable indicator of future economic activity - continuing to point to ongoing struggles in the manufacturing sector. Read more
1 Nov 2024 TwentyFour Blog Eurozone data soothes ECB growth concerns In what has been a busy week for macro news in Europe, the latest round of data for the Eurozone delivered a surprise that could have implications for the European Central Bank’s (ECB) interest rate plans. Read more