Search Result for : CAT Bonds
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Understanding catastrophe bonds: their growth and a comprehensive overview
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Catastrophe Bonds – An ILS Alternative for Reinsurance
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Emergence of green bonds as a new product category for ESG investors
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Bonds, Loans and Sukuk Middle East
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The Rise and Fall of Silicon Valley Bank: Implications for Financial Regulation
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Sovereign gold bonds (SGBs) – a critical analysis
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Are SLBs a fresh take on green bonds?
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Harmonised European covered bonds in sight, but differences likely to remain
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Changing macro indicators globally and their impact on distressed investments
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Portfolio diversification through gold- adding more than just glitter
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ETFs – building blocks for portfolio construction/allocation
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Taxable muni bonds vs Tax-exempt muni bonds
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Exploiting better access to China’s lucrative local bonds through ground support
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Green bonds: Is the climate really greener on the other side?
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Right man for the right job – Resource allocation
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Latest Trends in Fintech
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COP29 – insights and key takeaways
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The link between blockchain and ESG
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Global markets insights – November 2024: Trump 2.0 boosts market sentiment
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Landscape of fintech investments and associated trends
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Understanding price action of gold in 2024 and its equity play
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Making America Great Again 2.0 – What it means for Asset classes and Policy
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Driving product strategy in a dynamic cost environment
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Asset Backed Finance – An emerging frontier in Private Credit
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EU banks’ Additional Tier 1s: big rush, small hush!
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2024 Sustainable Finance: Key Regulations and Emerging Trends
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Will “angels” fall? Are BBB-rated borrowers facing increased risk of downgrade?
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The spike in peer-to-peer lending
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Impact of interest rate cut on the banking sector
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Carry trade – Japan’s interest rate hike that shook the global financial markets
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Global markets insights – August 2024: Rate hike in Japan rattles the market
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From risk to resilience – the role of ESG in modern collateral management
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India’s inclusion in the JP Morgan EM Bond Index – another green shoot or just hype?
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Green Loans & Sustainability-linked loans: A powerful tool and an unwavering ESG commitment to secure future
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Sustainable finance and ESG
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Interest Rate Divergence in 2024: A Global Context
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A Note On Our Budgetary Expectations for Environmental Reforms in India
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The ECB rate cut – what’s next for G7?
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Global markets insights – July 2024: Election-related uncertainty in Europe keeps sentiment subdued
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Rate cuts begin in Europe and Canada
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US’s Shorter Trade-Settlement Cycle: Impacts and Strategies
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The energy transition and how to finance it
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Future flow securitisations – novel balance sheet management solutions for corporates and financial institutions
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China’s real estate market: a soft landing is critical for avoiding a domino effect
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Borrow smarter, grow greener – how ESG lending creates a win-win
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Debt capital markets outlook 2024
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Embracing efficiency: The shift to T+1 settlements in US financial markets
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Navigating the spectrum of private credit strategies
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Hedge fund trends in 2024
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The rise of ESG investing: a game changer for financial markets
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Credit ratings – understanding their importance and meaning
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Sustainability over profitability: Are the fundamentals of performance measurement changing?
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A dovish Federal Reserve: a ray of hope for capital markets
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Impact of anti-ESG sentiment on the US public finance sector
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The US Public Finance Department’s national debt-management strategies
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Leveraged lending – to face headwinds or tailwinds in 2024?
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The Good, the Bad and the Worst in Leveraged Lending in High-Inflation Environment
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Impact of credit ratings on CLO
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Impact of ESG on the public finance sector
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Commercial and corporate lending trends in 2023
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Financing the net zero transition
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Oil and gas market pulse: June 2023
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Office to Multifamily Conversions – how attractive is this conversion strategy for Commercial Real Estate (“CRE”) investors?
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Project finance – outlook for 2023
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The banking crisis – a root cause analysis
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EU banks: better equipped to ride out the storm
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China – a promising wealth management market
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The curious case of SVB’s collapse – the impact of bank failures on Fed rates and other asset classes
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The Federal Reserve’s trajectory – side-tracked by SVB’s collapse?
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Munis expected to shine soon
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The Market Fallout from Silicon Valley Bank
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Wage hikes: Can Japan Inc. fix what the BoJ can’t?
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Investors turn to China for growth as it drops its Zero-COVID policy
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Sell-side research – key trends in 2023
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China’s tax and real estate debt crises
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The fall of LIBOR and the rise of SOFR
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The future is in green and ESG deals
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M&A activity to increase in 2H 2023
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Debt capital market activity poised to increase by mid-2023
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Bright spots in distressed debt investing amid rate hikes and recession fear
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India budget 2023: Walking the tightrope of fiscal prudence and growth
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A new dawn for fixed income assets following an inflation-ravaged year
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Trends in leveraged finance in 2023
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ESG regulations in Honk Kong & Singapore
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Financial data aggregation: The transition from physical collateral to information collateral
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Will the strong momentum in US CLOs continue?
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The Great Migration – A look at the US Fixed Income market amid rising inflation and interest rates
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How are high-yield investors gaining an advantage over market participants?
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Growth in ESG bond indices
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The Middle East – at the core of global ESG development?
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Opportunities in fixed income and credit as recessionary risk increases
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Impact of the Russia-Ukraine conflict on M&A activity
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Green financing in commercial real estate
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Fuel tax suspension: beneficial for consumers or a burden for governments?
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Why global investors should be cautiously bullish on China
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Reserve requirement ratio cut in China – will it resuscitate the economy?
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Challenges of integrating an ESG approach into lending
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The impact of rising interest rates on bond markets
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The Road Ahead for Fund Houses
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Achin Bhati
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India’s budget 2022: focus on infrastructure to sustain economic growth
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The role of banking in transitioning to a sustainable economy
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The fall of the Evergrande Group
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Steep fall in US Treasury rates – a chronic risk
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Corporate and commercial banking trends for 2022
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Making America great again with a USD2.3tn infrastructure plan
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Rising investor demand for ESG in their portfolios
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What are PRIIPs, and how do they impact your business?
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The shipping industry’s green revolution
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Multifamily real estate – lenders’ preferred choice in the current market
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CLOs scale new heights even as initial cracks emerge
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Sovereign Wealth Funds – The Other Eye on the Present
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Climate targets and ESG push in China
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Democratisation of Alternative Assets Using Tokenisation
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Financial instruments with convertible features and simplified accounting
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Greenwashing: the hurdle for green lenders
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Thoughts on the default of an AAA rated SOE
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Higher US Treasury yields (UST) – Repricing term premium is not an allegory to the taper tantrum
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AAA Leadership Model – Three Golden Principles
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Green mortgages – the sustainable debt financing solution
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African Capital Markets: COVID-19 has added uncertainty to already subdued levels of activity
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Testing times for US banks: Addressing the impact of rising corporate debt
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What is replacing the traditional 60/40 portfolio ratio?
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India’s Union Budget 2021-2022: Focus on economic recovery and establishing fiscal credibility
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The evolution of sustainability-linked loans
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Spotlight on gold: Is pandemic-related volatility taking away its shine?
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From IBOR to risk-free rates: Are banks ready for the transition?
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Investment banking industry – Trends to watch in 2021
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Impact of a volatile market on post-trade monitoring
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Finding the right balance in wholesale funding
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U.S. Municipal market activity witnessing positive momentum post Fed’s intervention
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Energy transition, propelled by Covid-19, to provide impetus to the renewable energy sector
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ESG investing in China – Undeterred by the COVID-19 pandemic
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Is the COVID-19 crisis increasing interest in impact investing?
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Fallen angels: Diamonds in the rough?
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Negative interest rates in a post-COVID-19 world
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COVID-19 impact on the US real estate market
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The impact of a reduction in the Federal interest rate
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The investment policy statement – The linchpin of the portfolio management process
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COVID-19: How it has boosted the US primary investment-grade bond market
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Cash flow headwinds putting corporates at high risk of default and restructuring
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Impact of COVID-19 on US high-yield debt
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ESG trends in private equity
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Climate change: The new propellant in private equity
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Low Interest Rates and Impact on the Swedish Housing Sector
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Sri Lanka ISB spreads: What’s in store for global investors?
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Islamic finance: An emerging growth market for global investors
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Hypothetical Performance Disclosures: Guidelines and Best Practices
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Impending Recession – The Signs Are Getting Stronger
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India’s Budget 2019-20: An election manifesto
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Emerging Markets Insight: Sri Lanka – Trouble in Paradise
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Challenges faced in coding of investment restrictions
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Entering China’s Bond Market – Empowering Global Fixed Income Investors
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Could Millennials be the downfall of Asset Management?
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Asset Backed Securitization – From Traditional to Non-traditional Asset Backed Securitization
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Dragon Dance in Asian Bond Markets
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Researching Big Gains
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How Are You Placed This Season
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Brexit: A blessing in disguise for PE direct lending funds?
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Rising Tide of Debt
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Prashant Gupta
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CRE: SLOO Survey Confirms Tighter Lending Standards to Continue
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Changing dynamics in global fixed income markets call for rigorous fundamental research
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Mitigating Risk with Hedged ETFs
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