11 Aug 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. Read more
7 Aug 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. Read more
24 Jul 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. Watch now
17 Jul 2020 TwentyFour Blog Diverging Defaults and Cyclical Selections Earlier this week, Moody’s published its default study for June, which showed that as expected, default rates globally have started to pick up as a result of COVID-19. The trailing 12-month global high yield default rate reached 5.4% at the end of June, up from 4.8% in May, as the gap to the long term average of 4.1% continues to grow. Read more
13 Jul 2020 TwentyFour Blog Companies Unlikely to Underperform in Q2 Earnings Ultimately, while Q2 will be a bad quarter for many companies even if they outperform expectations, in our view it is not the real driver of spreads at this stage. Read more
18 Jun 2020 TwentyFour Blog Central Bank Liquidity Will Dampen Default Cycle The European high yield market has shown remarkable resilience in the face of what will likely go down as one of the sharpest and most severe recessions in history. The benchmark iTraxx Xover index (a widely used proxy for Euro HY credit risk) has tightened from an intraday high of 730bp in March to 342bp earlier this week, a retracement of almost 75% from the January lows of approximately 200bp. Read more
26 May 2020 Market Update Fixed Income Market Update - 26th May 2020 Partner and Portfolio Manager Felipe Villarroel provides an update on fixed income markets. Watch now
7 May 2020 Market Update Quarterly Update - 7th May 2020 CEO Mark Holman provides his outlook for credit markets in 2020, highlighting investment themes and sectors that still offer fixed income investors good relative value. Watch now
29 Apr 2020 Market Update What’s happening in fixed income markets? Partner and Portfolio Manager Felipe Villarroel provides an update on fixed income markets. Watch now
27 Apr 2020 Market Update Investors could face another decade of income scarcity The coronavirus pandemic has brought about perhaps the greatest– and fastest – repricing of risk fixed income investors have ever witnessed. Read more
15 Apr 2020 TwentyFour Blog HY Demands Caution Through Riskiest Phase The European high yield sector has seen a sharp correction from its highs earlier this year, with the Crossover index moving from a tight of 203bp in January to an intraday wide of 730p on March 18 (by this morning it had also seen a retracement of around 50% to 470bp). Read more
9 Apr 2020 TwentyFour Blog Primary Bond Markets Escape Lockdown It has been a positive sign for us that despite lockdowns being enforced in most of the major economies around the world, in the last two weeks several issuers have managed to successfully raise new debt via the primary market. Read more