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Date | Document Type |
Title
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Issuer/Entity
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03 Feb 2021
|
Sector In-Depth
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Covered Bonds – Europe: Brexit triggers legal risk for EEA programmes with UK assets
|
|
|
25 Jan 2021
|
Sector In-Depth
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Brexit – United Kingdom: Trade and Cooperation Agreement does not eliminate Brexit uncertainty
|
|
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24 Dec 2020
|
Sector Comment
|
Brexit – United Kingdom: Post-Brexit trade agreement is credit positive for UK domestic issuers
|
|
|
26 Nov 2020
|
Outlook
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CMBS – Europe: 2021 Outlook — Coronavirus will amplify existing trends in the commercial real estate market
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|
|
15 Jun 2020
|
Sector Comment
|
Brexit – Europe: Failure to extend negotiation period increases risk of no UK-EU trade agreement
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|
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10 Jun 2020
|
Sector In-Depth
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Coronavirus – UK: No-deal Brexit would compound credit risks for sectors hit by coronavirus disruption
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|
|
26 Feb 2020
|
Sector Comment
|
RMBS – United Kingdom: “Brexit bounce” will support UK RMBS through first-half 2020, before longer-term housing market uncertainty returns
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|
|
02 Dec 2019
|
Outlook
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Covered Bonds – Europe: 2020 Outlook - Credit quality will remain strong despite slowing global economy
|
|
|
27 Nov 2019
|
Research Announcement
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Moody's - Inconclusive UK election could lead to policy inertia; credit negative for UK issuers
|
|
|
30 Oct 2019
|
Research Announcement
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Moody's - Brexit extension removes immediate risk of no deal withdrawal, but prolongs uncertainty
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|
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30 Oct 2019
|
Sector Comment
|
Brexit – United Kingdom: Brexit extension removes immediate risk of no deal but prolongs uncertainty
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|
|
22 Oct 2019
|
Sector In-Depth
|
Brexit – UK: Parliamentary vote for Brexit deal indicates first step towards orderly exit, but with a further delay likely
|
|
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23 Sep 2019
|
Sector Comment
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RMBS – United Kingdom: Brexit fears reduce UK housing market activity, a credit negative for UK RMBS
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|
|
23 Jul 2019
|
Research Announcement
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Moody's - Risk of no-deal Brexit has increased
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|
|
23 Jul 2019
|
Sector Comment
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Cross-Sector – United Kingdom: Risk of credit negative no-deal Brexit has increased
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|
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11 Apr 2019
|
Sector Comment
|
Cross-Sector – United Kingdom: Extension of Brexit process avoids imminent no-deal outcome, but uncertainty remains
|
|
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22 Mar 2019
|
Sector Comment
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Cross-Sector – United Kingdom: Brexit extension is credit positive, but no-deal risk remains
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|
|
19 Mar 2019
|
Sector In-Depth
|
UK Brexit Monitor - March 2019 (Slides)
|
|
|
18 Mar 2019
|
Sector In-Depth
|
CLOs - Europe: 'No-deal' Brexit will not materially erode the credit quality of European CLOs
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|
|
15 Mar 2019
|
Sector Comment
|
Cross-Sector – United Kingdom: Extension of Brexit process appears likely, prolonging uncertainty for a range of issuers
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|
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07 Mar 2019
|
Sector In-Depth
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Structured Finance — United Kingdom: Strong portfolio fundamentals mitigate performance effects of a no-deal Brexit
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|
|
28 Feb 2019
|
Sector Comment
|
Covered Bonds - Germany: Brexit-related changes to the Pfandbrief act are credit positive for German covered bonds
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|
|
28 Feb 2019
|
Sector Comment
|
Cross-Sector - United Kingdom: Parliament lays path for potential extension of Brexit process, but uncertainty remains
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|
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29 Jan 2019
|
Sector Comment
|
Cross-Sector – United Kingdom: UK parliamentary votes prolong Brexit uncertainty
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|
|
25 Jan 2019
|
Sector Comment
|
UK Brexit Monitor January 2019
|
|
|
15 Jan 2019
|
Sector Comment
|
Cross-Sector – United Kingdom: Vote against withdrawal agreement extends Brexit uncertainty, raises risks for UK issuers
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|
|
28 Nov 2018
|
Sector Comment
|
UK Brexit Monitor November 2018
|
|
|
15 Oct 2018
|
Sector Comment
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Covered Bonds: Proposed change would keep UK assets eligible for German Pfandbrief cover pools after Brexit, a credit positive
|
|
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19 Sep 2018
|
Sector Comment
|
UK Brexit Monitor September 2018
|
|
|
13 Sep 2018
|
Sector In-Depth
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Cross-Sector – United Kingdom: Probability of a 'no-deal' Brexit has risen, and would be negative for an array of issuers
|
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