Our research is independent and based on publicly available information on the issuers in our coverage universe. Our credit analysts have significant experience in the high yield markets, with their skills honed in leading buy-side and sell-side institutions, and rating agencies. As a result, our research is consistent, comprehensive and actionable, helping our clients invest with confidence and manage their risks effectively. Our opinions on the idiosyncratic and systemic risks affecting companies under our coverage are paired with explicit trade recommendations, and are expressed through an array of timely-published reports.

  • Morning Views
    A daily snapshot of key, company-specific developments and Lucror’s credit views for issuers under coverage and trade recommendations on the back of these.
  • New Issue Assessments
    Operational, structural and legal analysis of new issue before they enter the market and commentary on fair pricing levels.
  • Earnings Flashes
    Reviews of and credit views on earnings announcements for issuers under coverage and trade recommendations thereof.
  • Event Flashes
    Analysis of the impact of idiosyncratic developments for issuers under coverage and trade recommendations thereof.
  • Tear Sheets
    Executive summary providing key insights and an overview of business segments, recent operating results and key fundamental analysis metrics for issuers under coverage.
  • Thematic Reports
    Analysis of macroeconomic and singular, market-moving events impacting issuers under coverage as well as industry reports.
  • Credit Views
    In-depth, fundamental analysis of issuers under coverage. Includes detailed divisional and geographical operational assessment, P&L, B/S, cash flow analysis, commentary on the capital structure, debt maturity profile, liquidity considerations, corporate governance and management, legal and recovery analysis.
  • Model Portfolio
    Trade ideas and tracking thereof through region-specific model portfolios.