March 6th 2024
The breadth of GPs and resilient business to be found in the mid-market makes for highly compelling single-asset deals, says Hayfin's Mirja Lehmler-Brown
February 19th 2024
CCC bonds are at the bottom of the high yield ratings spectrum. Comprising only 5-6% of the relevant European indices, in widening markets, CCCs tend to absorb much of the price dispersion.
January 29th 2024
Shipping is a critical component of downstream supply chains, transporting commodities and finished goods valued at over USD20 trillion in 2023.
March 30th 2023
Hayfin’s High Yield & Syndicated Loans team discusses the current opportunity in the European high yield market to select securities that offer positive price convexity and high current income.
January 19th 2022
Hayfin’s Maritime team discusses the key themes of the industry’s journey to decarbonisation and the proactive steps Hayfin has taken as a signatory of the ‘Getting to Zero Coalition’ initiative to drive reductions in greenhouse gas emissions from its maritime investments.
March 28th 2021
Hayfin’s Maritime team discusses how the blockage of the Suez Canal has impacted global shipping markets and may affect future fleet capacity, freight rates and asset pricing
March 16th 2021
Hayfin’s Private Equity Solutions Team discusses why finding high-quality secondary investment opportunities in the middle market requires a specialist approach and lots of “digging” – much like hunting for truffles.
March 2nd 2021
Hayfin’s Head of Healthcare discusses the divergent impacts of COVID on the diverse sub-sectors of healthcare and the ongoing investment opportunity for specialist lenders.
January 14th 2021
Hayfin’s Chief Risk Officer discusses how UK-EU regulatory divergence will ensure that Brexit remains an important consideration for investors
October 1st 2020
Guy du Parc Braham, Hayfin’s Chief Risk Officer discusses the limitations of traditional risk analysis when companies and economies are facing political uncertainty