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  1. News

    Chatham Financial Appoints Mike Noonan as Managing Director, Execution & Analysis

    • Corporates
    • Financial Institutions
    • Infrastructure
    • Insurance
    • Private Equity
    • Real Estate
    • Interest Rate Risk Management
    • Foreign Currency Risk Management
    Chatham Financial, a global leader in capital markets technology and advisory, today announced the appointment of Mike Noonan as Managing Director, Execution & Analysis.
  2. Guide

    Request your Q3 2025 Market Credit Spreads report

    • Real Estate
    • Valuation
    Credit spreads shown are averages based on market rate conclusions for independent debt valuations conducted as of September 30, 2025. The market spread for an individual loan may vary based on property and loan characteristics, including, but not limited to, location, tenant profile, cash flow,...
  3. White Paper

    Request your Q3 2025 business plan assumptions

    • U.K. Social Housing
    • Interest Rate Risk Management
    • Foreign Currency Risk Management
    Chatham sets out its business plan assumptions for Q3 2025. Our latest market update highlights how Q3 market movements, inflation trends, and evolving rate expectations are shaping key business plan assumptions for social housing providers.
  4. Webinar

    Capital Markets Trends and Strategies 2026

    Below, watch our exclusive expert panel have a discussion on how leading financial professionals are conquering complexity and seizing opportunity. This isn't just a webinar; it's a deep dive into the insights and strategies you need to thrive. Whether you're exploring refinancing, seeking new...
  5. Webinar

    Replay: Semiannual Market and Economic Update

    • Real Estate
    • Private Equity
    • Infrastructure
    • Corporates
    • Financial Institutions
    • Insurance
    • Investment Banking
    • Interest Rate Risk Management
    • Foreign Currency Risk Management
    • Commodity Risk Management
    • Hedge Accounting
    • Valuation
    • Debt Management
    • Asset Platform
    • Regulatory Compliance Advisory
    • Defeasance & Prepayment
    • Fiscal & Monetary Policy
    • Technology
    Below, watch Jackie Bowie and Amol Dhargalkar discuss the risks and opportunities in today’s capital markets. They examined how real estate, private equity, and corporate finance leaders are managing macroeconomic shifts, geopolitical developments, and technological innovation to strengthen...
  6. Article

    BoE holds rates amid high inflation, ECB signals policy on hold

    • Corporates
    • Financial Institutions
    • Infrastructure
    • Insurance
    • Private Equity
    • Real Estate
    The Bank of England left the Bank Rate unchanged at 4.00% today as expected. Seven of the nine monetary policy committee (MPC) members voted to keep rates on hold, while two favoured another 25-basis-point cut. The MPC also announced a slowing in quantitative tightening to £70bn of gilt...
  7. Market Update

    FOMC lowers policy rate by 25 basis points as labor market weakness builds

    • Corporates
    • Financial Institutions
    • Infrastructure
    • Insurance
    • Private Equity
    • Real Estate
    • Interest Rate Risk Management
    • Fiscal & Monetary Policy
    On Wednesday, September 17, 2025, the Federal Open Market Committee (FOMC) voted to cut the Fed Funds rate to a target range of 4.00%-4.25%. The first cut of 2025 follows months of political pressure on Chair Powell to cut rates and matched expectations from Wall Street. The decision comes amid...
  8. Article

    Hedging strategies to meet today's ALM challenges

    With many institutions experiencing moderate net interest margin expansion, management teams' focus has shifted toward protecting those gains while preparing for uncertainty ahead. Community and regional banks and credit unions are increasingly using balance-sheet hedging strategies to stabilize...
  9. Market Update

    FOMC on hold while pressure to cut rates builds

    • Corporates
    • Financial Institutions
    • Infrastructure
    • Insurance
    • Private Equity
    • Real Estate
    • Interest Rate Risk Management
    • Fiscal & Monetary Policy
    On Wednesday, July 30, 2025, the Federal Open Market Committee (FOMC) voted to hold the Fed Funds rate at a target range of 4.25%-4.50%. This follows months of mounting political pressure on Chair Powell to cut rates. For the first time since 1993, two Fed Governors dissented on the rate...
  10. Market Update

    Trump to the world: To whom it may concern

    • Corporates
    • Financial Institutions
    • Infrastructure
    • Insurance
    • Private Equity
    • Real Estate
    • Interest Rate Risk Management
    • Foreign Currency Risk Management
    • Fiscal & Monetary Policy
    Trade tensions escalated last week with Trump proposing widespread tariff increases affecting over 50 nations. A Trump Fed appointee proposed a 25 basis point rate cut in the Fed’s next meeting at the end of July, but the market isn’t counting on any changes until September. New CPI and PPI data...
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