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TwentyFour

2019-11-20_24_fitch-keeps-at1-investors-on-their-toes_teaser
20 Nov 2019 TwentyFour Blog

Fitch keeps AT1 investors on their toes

"We have been participants in the Additional Tier 1 (AT1) sector since its introduction in 2013, albeit with a high degree of selectivity, but the risk-reward has been obvious to us." Gary Kirk discusses the latest AT1 news from Fitch
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2019-11-18_24_ig-demand-would-be-key-to-walgreens-buyout_teaser
15 Nov 2019 TwentyFour Blog

IG demand would be key to Walgreens buyout

At this late point in the cycle, fixed income investors are on high alert for signs of potential excess in the capital markets, and a proposal for potentially the biggest leveraged buyout (LBO) in history would certainly fall into that category.
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2019-11-21_wp_24_sustainable-credit-a-free-lunch_teaser
13 Nov 2019 White Paper

Sustainable credit: A free lunch?

At TwentyFour Asset Management we believe Environmental, Social and Governance (ESG) factors can have an influence on the value of our investments, and we have recently formalised our approach to these risks by integrating an ESG framework throughout the firm’s investment process, across all strategies.
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2019-11-06_us-corporate-credit-demand-slows-again_teaser
6 Nov 2019 TwentyFour Blog

US corporate credit demand slows again

The Senior Loan Officer Opinion Survey, combined with financial results from the banks, is probably still the most useful tool we have for gauging the cycle’s life expectancy.
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2019-11-05_24_risk-well-underpinned-going-into-year-end_teaser
5 Nov 2019 TwentyFour Blog

Risk well underpinned going into year-end

A number of threats to risk assets have dissipated and could become positive tail risks for markets moving into 2020.
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2019-10-30_24_what-does-us-loan-underperformance-mean-for-bondholders_teaser
30 Oct 2019 TwentyFour Blog

What Does US Loan Underperformance Mean for Bondholders?

"The European CLO market is much smaller, but given the US is further ahead in the economic cycle, the US market can provide a good indication of what might happen in Europe."
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2019-10-23_24_will-brexit-battle-brewing-for-the-bank_teaser
23 Oct 2019 TwentyFour Blog

Brexit Battle Brewing for the Bank

Markets appear more confident the UK will avoid a ‘no-deal’ Brexit, but this isn’t feeding through to rate rise expectations. TwentyFour Asset Management's Ben Hayward examines why.
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2019-10-22_24_monetising-the-brexit-premium_teaser
22 Oct 2019 TwentyFour Blog

Monetising the Brexit Premium

So is there any Brexit premium left at this juncture? We certainly believe there is.
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2019-10-16_24b_bank-earnings_teaser
16 Oct 2019 TwentyFour Blog

Bank Earnings – US consumer remains in good health

For us, it is the insight into the US economy and the strength or weakness of their customers, that we find most interesting in the banking results, and especially so when the US economic data is increasingly pointing to a slowdown.
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Trade, Brexit and Earnings an Unholy Trinity for Markets
8 Oct 2019 TwentyFour Blog

Trade, Brexit and Earnings an Unholy Trinity for Markets

It is not clear to us just how much more monetary easing will placate equity investors, and we see a real risk that when we enter the third quarter earnings season next week, company specific data from the bottom up will be more of a shock than the macro picture has been.
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2019-10-03_24_will-the-conundrum-facing-treasury-investors_teaser
3 Oct 2019 TwentyFour Blog

The Conundrum Facing Treasury Investors

"We think the downside to markets is still underappreciated, and thus we would prefer to stay long protection."
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2019-09-30_24_will-esg-investing-save-active-management_teaser
2 Oct 2019 TwentyFour Blog

Will ESG Investing Save Active Management?

The active versus passive management debate is well documented, but with ESG or sustainable investing the debate takes on a new dimension.
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