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.

8 min read ·
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.

8 min read ·