17 Sep 2020 Market Update Why did Q2 see record bond issuance? Jack Daley discusses the record bond issuance that was seen in Q2 2020 across gross and net levels in global fixed income markets, particularly in Europe and the US. Watch now
7 Sep 2020 TwentyFour Blog Caixa-Bankia Talks a Step in Right Direction There are a number of countries in Europe where the banking sector remains very fragmented, and while a lot of work has been done in Spain with the mergers of multiple ‘cajas’ in the last few years, there is still scope for further consolidation. 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
19 May 2020 TwentyFour Blog EU Aid Too Little, Too Late Markets opened today to the news that German Chancellor, Angela Merkel, and French President, Emmanuel Macron, had reached an agreement to support the launch of a €500bn support package to aid the European Union’s recovery from the coronavirus outbreak, which has devastated large parts of the continent. Read more
7 May 2020 TwentyFour Blog PRA Offers More Help to Banks With Subtle Switch One of the big support mechanisms for the UK economy during this pandemic has been the availability of grants and corporate loans via the banking system, aided by unlimited liquidity from the central bank. Read more
25 Mar 2020 Market Update What’s happening in IG European ABS? Partner and Portfolio Manager Ben Hayward provides an update on the European ABS market. Watch now
11 Mar 2020 TwentyFour Blog Italian Mortgages, Natwest and COVID-19 We noted with interest two headlines yesterday: Italy to suspend mortgage payments amid outbreak and RBS and NatWest offer mortgage breaks for customers affected by coronavirus Read more
11 Mar 2020 TwentyFour Blog Bank Of England Announces “Big, Big Package” Our take on all of this is that the central bank has acted in a very targeted and timely way, adding large volumes of liquidity at even lower rates, along with significant capital to the banking system. Read more
10 Mar 2020 TwentyFour Blog What Next For Bonds After 'Capitulation Day' Monday was one of those days investment professionals will remember all their lives, and compare with similar standout days from the past. Read more
7 Feb 2020 TwentyFour Blog This Is No Time for Additional Alpha This deal may well perform in the short-term, and we sincerely hope Alpha’s plan works, but we also recognise there is a high degree of execution risk and the domestic economy still has considerable headwinds. Read more
30 Jan 2020 Market Update Opportunities in Sterling Credit Chris Bowie discusses “The Opportunities in Sterling Credit” as he goes into some of the myths and opportunities within the sterling credit markets and trends we expect for the year ahead. Watch now
9 Jan 2020 TwentyFour Blog Heavy Supply Meets Heavy Demand Kicking off the new year, we expected the new issue market to be very active and we certainly haven’t been disappointed, with the good momentum created at the end of last year – thanks to the US and China reaching a ‘phase one’ agreement and the resounding victory by the Conservatives paving the way for Brexit negotiations to move forward – allowing pent-up borrowing demand to hit the market. Read more