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Navigating Private Debt in Europe
This chapter explores the performance and evolution of private debt managers in Europe over the last decade, emphasizing the impacts of COVID-19 and inflation on investor behavior. It highlights the unique characteristics of private credit, including its resilience and adaptability compared to traditional banking models, as well as recent trends in regulatory frameworks and market consolidation. The discussion underscores the significance of strategic partnerships, risk management, and the current state of default rates, offering insights into the future of private lending in an evolving economic landscape.