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Credit Markets in Transition: Asset-Based Finance

All the Credit

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Exploring Asset-Based Finance Strategies

This chapter investigates the role of Asset-Based Finance (ABF) in diversifying investment portfolios and managing risks. It contrasts various investor strategies, focusing on high-quality collateralized loan obligations and private lending opportunities, while addressing the importance of understanding asset risk profiles. Additionally, the chapter highlights the dynamics of short-term financing, return expectations, and the significance of a long-term perspective in credit market investments.

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