Rafał Lis: Polish private debt market in a global context
An extensive commentary by Rafał Lis has been published on Analizy.pl, highlighting several important factors shaping the current condition and outlook of the private debt market in a global context.
- Private debt remains an asset class built on predictable cash flows and strong resilience to liquidity pressure.
- Portfolio security is determined by the quality of pre-investment analysis, active monitoring, collateral, and a swift response to potential risks.
- An important strength of Polish private debt funds lies in portfolio diversification and the relatively short maturities of their financing.
- Polish private debt market remains highly resilient to the trends observed in the US market.
- CVI’s experience shows that an appropriate fund structure and a comprehensive liquidity management framework further support the stable performance of private debt funds, even in a more demanding market environment.
We invite you to read the full article (in Polish):
https://www.analizy.pl/tylko-u-nas/39517/czy-polskiemu-private-debt-grozi-scenariusz-z-usa