Euro Bank Debt Investors More Cautious in 2H

Dow Jones
Aug 17

1418 GMT - Investors in euro-denominated bank bonds say they don't intend to increase allocations in high-risk credit segments in the second half of 2026, ABN Amro's bank debt survey shows. European fund managers expect increased fund inflows in the second half, but they don't intend to add credit duration or credit risk to their portfolios, ABN Amro strategists say in a note. This suggests "that the low spread levels are starting to make investors a bit more cautious," the strategists say.

 

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