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Winning in a Split Market: CLO Strategy with Blackstone
In this episode of the LFI Levered Lines Podcast, host Steve Miller speaks with Bob Post of Blackstone Credit and Insurance about the evolving leveraged loan and CLO markets. They discuss Blackstone’s CLO growth strategy, market bifurcation, private credit dynamics, and the widening gap between stronger and weaker credits affecting pricing and liquidity.
Leveraged Loans in Flux: Volatility, AI and Market Shifts
In this episode of the Know More. Risk Better. podcast, host Winnie Cisar is joined by Kerry Kantin to discuss the sharp shift in market sentiment, slowing issuance, and the challenges facing refinancing and deal timing amid volatility.
Europe Macro: Digesting Higher Rates & Energy Prices
In this episode of the Know More. Risk Better. podcast, host Logan Miller speaks with Anwita Basu, Head of Country Risk for Europe at BMI, about Europe’s macro outlook, geopolitical pressures, and evolving credit risks in 2026.
Asia’s Market Pulse: Credit Trends and Global Volatility
In this episode of the Know More. Risk Better. podcast, host Zachary Griffiths is joined by Zerlina Zeng to unpack how global macro volatility, geopolitical tensions, and private credit risk are shaping today’s fixed income markets, with a strong focus on Asia.
Quarterly US Covenant Trends & Outlook: Leveraged Loans and High Yield Bonds
In this webinar, CreditSights experts present a Q1 2026 update examining how U.S. leveraged loan and high‑yield bond documentation is evolving amid heightened market volatility. The discussion focuses on shifting investor leverage, covenant pushback in new issuance, and how geopolitical risk, refinancing activity, and liability management transactions are shaping documentation outcomes across the credit markets.
Risk, Liquidity, and Innovation in Private Credit with Goodwin
In this episode of the LFI Levered Lines Podcast, host Kerstin Kubanek speaks with John Anderson about continued insurance capital interest in private credit through structured access vehicles, the rise of credit continuation vehicles as tools for liquidity and duration management, and the expanding role of NAV financing across fund structures.
Banks, Private Credit and the Myth of a 2008 Replay
In this episode of the Know More. Risk Better. podcast, host Zachary Griffiths is joined by Peter Simon, Head of US Banks, and Simon Adamson, Head of European Banks, to examine rising investor concerns around private credit and bank exposure.
1Q26 Quarterly Covenant Trends in European Leveraged Loans and High Yield Bonds
In this webinar, Jane Gray and Shoshana Harrow at Covenant Review explore how European leveraged loan and high‑yield bond documentation is evolving amid volatile market conditions, focusing on primary issuance trends, covenant flexibility, documentation flex, and the growing role of liability management transactions.
ETFs 101: Decoding the Mechanics of ETFs for Bond Investors
In this episode of the Know More. Risk Better. podcast, the discussion unpacks the mechanics, growth, and practical use of fixed income ETFs in today’s credit markets. Winnie Cisar is joined by Pat Luby for an ETF 101 conversation covering why ETFs have gained traction, how fund flows and price discovery work, and the roles of liquidity, tax efficiency, and authorized participants.
Asia in Focus: 2Q26 Global Credit Outlook Implications
In this webinar, CreditSights APAC research team and guest speaker Dhiraj Bajaj at Lombard Odier Investment Managers, reviewed the 2Q26 global credit outlook and discussed how recent macro developments and the Middle East conflict are shaping Asia‑Pacific credit markets.
Advancing the Loan Market: Insights from LSTA’s CEO
This week on Levered Lines, host Steve Miller speaks with guest Sean Griffin to examine how the loan market is evolving as private credit expands and trading volumes reach new highs. They discuss market transparency, the growing importance of data and digitization, and the operational challenges of supporting a trillion‑dollar loan market.
Global Market Update: 2Q26 Outlook for the US & Europe
In April Global Market Update webinar, the CreditSights Global Strategy team examines how escalating geopolitical risk, private credit stress, and AI‑related uncertainty are reshaping global credit markets in 2026. Winnie Cisar is joined by Zachary Griffiths and Logan Miller to discuss the market impact of the Iran conflict, rising energy prices, and renewed volatility across rates and credit.
Know More. Risk Better. A CreditSights Podcast.
In this Season of the podcast, CreditSights Global Head of Strategy, Winnie Cisar, and Senior Strategist, Zachary Griffiths, interview our sector analysts to get their outlooks for the year. With our guests from industry leaders and experienced practitioners, listen as they deliver informative and engaging discussions on the latest trends and developments in the market.
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