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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

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

Pre- and Post-Election Rate Moves

A rising fed funds rate suggests investors should prepare for the curve to flatten.


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

Commercial Mortgage-Backed Securities: A Rally in Spreads, a Surge in Supply

Market volatility in the first half of 2016 has given way to a sharp rally in CMBS spreads and resurgence in CMBS issuance.


August 17, 2016

Commercial Real Estate Debt: Will the Party Continue?

Despite positive fundamentals, the second quarter saw a significant decrease in lender appetite.


August 17, 2016

High-Yield Corporate Bonds: Energy Leads the Way

The energy sector currently offers the best potential total return upside in the high-yield space.


August 17, 2016

Investment Grade Corporate Credit Global Demand Meets Abundant Supply

Relatively high yields and abundant supply entice global fixed-income investors.


August 17, 2016

Municipals: Watching Election-Season Tax Debates

Talk of tax reform will likely create uncertainty in the otherwise-robust municipal bond market.


August 17, 2016

Non-Agency Residential Mortgage-Backed Securities: Market in Slow Motion

Constructive themes of improving fundamentals and limited supply remain firmly in place.

Displaying Results 171 - 180 (of 204)







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