Over the course of this restructuring series, MV Credit will explore the lessons learnt in private debt for 20 years as well as the key pillars of minimising the impact of credit losses on risk-adjusted returns
Amid high market stress, robust strategies can continue to deliver.
MV Credit: Interview with Frederic Nadal, CEO.
Many institutions, sovereign wealth funds and family offices ploughed in to government bonds 10-15 years ago when yields were attractive. Those bonds are now maturing and need replacing.