The latest Q2 2025 CVC Credit Perspectives details our views on recent market moves, and the opportunities in both public and private credit markets.  

In the second quarter of 2025, financial markets continued to perform well despite volatility due to tariff-related uncertainty. Amid this backdrop, there has been a noticeable increase in appetite for exposure to European assets.  
 
CVC Credit Perspectives examines these trends and provides an insight into how the broader credit market is adjusting to this landscape.

Read the latest CVC Credit Perspectives:

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