Market volatility from last year’s oil price shock dramatically cut both issuer and investor-friendly flex activity. Source: Thomson Reuters LPC You may also likeMarkit Recap – 1/12/2015Chart of the Week: The Recession DashboardThe Pulse of Private Equity – 6/29/2020Loan Stats at a Glance – 9/13/2021DL Deals: News & Analysis – 8/14/2023...
Previous Post: Markit Recap – 3/9/2015
Next Post: The Art of Pricing Loans (Third of a Series)