Topic
Private Credit Research
Within the private credit landscape, researchers emphasize the continued importance of private markets and direct lending as essential tools for diversifying portfolios amidst heightened geopolitical uncertainty and credit stress. While direct lending remains supported, analysts advocate for strict selectivity with a bias toward non-cyclical sectors and infrastructure for inflation-linked income. Credit strategies demonstrated resilience with positive returns in early 2026, though a more defensive posture is emerging through the prioritization of Relative Value and Fixed Income Relative Value sub-strategies. Solid corporate fundamentals and projected S&P 500 EPS growth of 20% support the credit outlook, even as high government deficits pose long-term risks to yields and necessitate a focus on shorter-duration fixed income. Additionally, the massive expansion in AI-related demand, with a projected $1.7 trillion TAM by 2030, and the evolution of biotech into a compounding asset class are creating new long-term investment opportunities for credit providers. Collectively, these insights suggest a research direction focused on resilient, innovation-driven sectors to navigate a goldilocks environment disrupted by macro volatility.
4511 reports available
All reports
Page 186 of 187
Hyperscalers Double Down on AI Capex
UniCredit · May 10, 2026
US TMT Semiconductors Update
Goldman Sachs · May 10, 2026
US Morning Call
Goldman Sachs · May 10, 2026
Technicals Reset but Rally Remains Thin
Citadel Securities · May 10, 2026
Housing and Mortgage Monitor
Goldman Sachs · May 10, 2026
Bubble Trouble vs Tokenomics
Goldman Sachs · May 10, 2026
Weekend Thoughts
Goldman Sachs · May 10, 2026
China Musings: Investor FAQs Ahead of Trump-Xi Meeting
Goldman Sachs · May 10, 2026
Peace Hope and AI Hype Sink Crude and The Dollar
May 10, 2026
Good Morning Mail
Goldman Sachs · May 5, 2026
Buy GSXEOCAP as Security of Supply Trade
Goldman Sachs · May 5, 2026
First Look on Hedge Fund Performance and Positioning
Goldman Sachs · May 4, 2026
Is China Immune to Energy Shocks
GlobalData TS Lombard · May 1, 2026
US Equities Weekly Rundown
Goldman Sachs · Apr 27, 2026
What Matters Today
Goldman Sachs · Apr 27, 2026
Markets and Macro Update
Goldman Sachs & Co. LLC · Apr 27, 2026
DeepSeek V4 Implications and TSM ADR Premium
Goldman Sachs · Apr 27, 2026
What Matters Today: CTAs, Pensions, Software Rally, and Potential Growth
Goldman Sachs · Apr 23, 2026
Right Tail Risk in Consumer Discretionary
Goldman Sachs & Co. LLC · Apr 23, 2026
The New Inflation Regime
TS Lombard · Apr 23, 2026
GS Morning Update
Goldman Sachs · Apr 23, 2026
Equity Positioning and Key Levels
Goldman Sachs · Apr 13, 2026
March and Q1 2026 Performance Review
Deutsche Bank · Apr 1, 2026
Investment Strategy Quarterly
Raymond James · Apr 1, 2026