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In 2022, the global investment landscape underwent a significant transformation due to various factors. The Russia-Ukraine conflict and new monetary policies adopted by central banks around the world, including in Europe, led to increased geopolitical uncertainty and changes in market dynamics. Central banks shifted from being net buyers to net sellers of assets, resulting in a spike in interest-rate volatility. This had a significant impact on the European investment-grade market, with yields on bonds reaching levels not seen in over a decade. These changes presented both opportunities and risks for investors in the European credit market.
We discussed the market and gathered valuable insights from leading capital structure advisors, Marlborough Partners. Benjamin Weyl, Partner, and Grant Pollock, Associate Director share their insights on the European Credit and Financing Market.
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Connect with our authors:
Benjamin Weyl, Partner, Marlborough Partners
Grant Pollock, Associate Director, Marlborough Partners
Julian Chittock, Associate Director, Pearse Partners