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Sector Views

Our Sector Reports include institutional investor commentary that explores past performance, future outlook and investment implications for various market sectors.



December 15, 2016

Emphasis on Quality

Rising pension liabilities remain a concern, but strong technicals support the municipal market.


December 15, 2016

Foreign Forces Drive Yields Lower

Unwavering investor demand drove yields close to historic lows in the third quarter.


December 15, 2016

Commodity Picture Is Still Improving

We continue to find value in energy and metals, which still offer yield premiums over non-commodity names despite an improving fundamental outlook.


December 15, 2016

Stability and Liquidity Return

After a volatile first half of the year, debt markets returned to a more normalized origination environment.


December 15, 2016

Sorting the Wheat from the Chaff

Identifying relative value as investors struggle to digest a slew of transactions in a hot market.


December 15, 2016

Investor Demand Raises Refi Risk

Reversing the trend earlier in the year, primary market opportunities look attractive as the secondary market trades rich.


December 15, 2016

Focus on Longer Duration

The widely feared refinancing wave failed to materialize, but Fed timing remains a risk.


December 15, 2016

Refi Surge Calls for Selective Buying

Direct lenders and middle market credit platforms will drive middle market CLO issuance.


October 14, 2016

High-Yield and Bank Loan Outlook – October 2016

Despite the recent rise in prices and tightening of spreads, interest expense coverage ratios for non-commodity high-yield issuers are relatively low, and the domestic economy is resilient.


August 17, 2016

Agency Mortgage-Backed Securities: No Need to Fear Refi Wave

Demand remains strong as Agency MBS is one of few positive-yielding, high-quality asset classes.

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