PODCAST: LP defaults, force majeure and over-collateralisation amid covid-19

Our senior editorial teams covering PE, private debt, infrastructure, real estate and secondaries discuss the latest in how private markets are responding to the coronavirus pandemic. Plus: ways firms are helping people out in the crisis.


Subscribe to Spotlight on: iTunes | Stitcher | Spotify | Google Play | Podbean

Our latest coronavirus special podcast looks into LP defaults, how they might play out, and what this could mean for GPs and their subscription credit lines. We delve into the rise of digital infrastructure funds and how they’re experiencing a boon as covid-19 forces more than half the world’s population to work from home.

See all Private Debt Investor’s coverage of covid-19 and its impact

We also examine the private debt collateralised loan obligation market, the impact of tenants defaulting on rent payments and what that means for private real estate funds, and some of the ways private markets firms are doing good deeds during the crisis.

Listen to our first podcast on the impact of the coronavirus