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“tail risk is if a large [credit] fund manager has to gate...like when first money market fund broke the buck. People forced to sell, don't care about the price" This will be driven by actual credits going splat, not by panicky flows~not the same thing

@SumairaAbidi  @ShereenBhanU  @Latha_VenkateshT  @_anujsinghalI  MF creates a segregated portfolio in respect of debt securities of Vodafone Idea. UTI Credit Risk Fund, UTI Bond Fund, UTI Regular Savings Fund, UTI Dynamic Bond Fund, UTI Medium Term Fund are part of the segregated portfolio.

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African Development Fund Board approves $37 million in credit risk participations by the Private Sector Credit Enhancement Facility for non-sovereign operations in #Kenya , #Sudan  and #Senegal . ??

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#ICICIPru invests Rs 334 cr in own credit risk fund ?

▶ HDFC Credit Risk Debt Fund's NAV falls after Simplex downgrade. Should you exit? - Economic Times: HDFC Credit Risk Debt Fund's NAV falls after Simplex downgrade. Should you exit?  Economic Times GOOGLE

#Credit #risk  funds of 3 mutual fund houses stand tall amid defaults, downgrades #mutualfunds  #debt 

Simplex Infra's rating downgrade dents NAV of HDFC Credit Risk Fund by 30 bps - Is there more pain in the offing? - : Simplex Infra's rating downgrade dents NAV of HDFC Credit Risk Fund by 30 bps - Is there more pain in… GOOGLE

▶ HDFC Credit Risk Debt Fund’s NAV falls after Simplex downgrade. Should you exit? - Economic Times: HDFC Credit Risk Debt Fund’s NAV falls after Simplex downgrade. Should you exit?  Economic Times GOOGLE

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#OnCNBCTV18 | Liquid fund inflow at Rs 45,441 cr Vs outflow of Rs 1.52 lk cr (MoM); Credit risk outflow at Rs 3,411 cr Vs outflow of Rs 2,695 cr (MoM) @SumairaAbidi  in conversation with @CEO_SundaramMF  @SundaramMF  & Vishal Kapoor, CEO @IDFCMF 

World's largest Hedge Fund: #ECB  took credit risk at Corp Bond Buying Program. Bought into 118 BB+ & non-rated bonds

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A fund manager who predicted India’s credit crunch said that “pockets of risk” remain that could reignite investor concern

Strengthen in-house risk-management practices, instead of relying heavily on credit rating agencies, tells mutual fund players

Hedge fund manager : Greece and crude oil are opportunities, but "we think the real risk to the world is China and their excess credit buildup." Watch live

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Texas's underfunded pension obligations could risk a credit markdown, but the Lone Star State’s rainy-day fund helps give it more leeway than many states.

Systemic risk fears over fund manager credit lines

Systemic risk fears over fund manager credit lines

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