refinancing risk
Markets
Technology
Credit Markets Reprice Software Risk as $25 Billion in Loans Hit Distress
Debt investors are systematically reducing software exposure while equity markets hold elevated AI-driven multiples—a divergence that historically precedes compression.
Macro
Markets
Credit Volatility Warning From Oaktree Signals Stress Shift in Corporate Debt Markets
Institutional strategists flag amplified price swings as Fed uncertainty, Iran energy shocks, and $936 billion 2026 refinancing wall converge on tightening credit conditions.