Monthly Insights: Heron’s Response to Jamie Dimon’s Private Credit Paradox (July 2025) In our July 2025 Monthly Insights, we let investors and RIAs know why they shouldn't take Jamie Dimon's recent remarks about private credit as the guiding truth.
What Makes Middle Market Loans Attractive for Investors? A Q&A With PGIM Experts from PGIM explain why core middle market direct lending offers an attractive risk-return profile within the broader credit landscape.
Why Private Credit Covenants Matter for Investors: A Q&A With FS Investments In this Q&A with FS Investments, we explore how private credit loan covenants aim to protect investors.
Monthly Insights From Heron: Private Credit Goes Main Street (June 2025) In our June 2025 Monthly Insights, we look at how private credit is becoming more accessible via new investment vehicles — and some of the potential downfalls that retail investors and RIAs should look out for.
Monthly Insights From Heron: Recession Ready (May 2025) In our May 2025 Monthly Insights, we look at the odds of a recession this year, what a recession means for private credit, and how Heron is positioned for a downturn.
How a Recession Could Impact Private Credit—and Heron Portfolios We explore how private credit performed during the 2008 crisis along with how Heron portfolios are positioned for a potential 2025 recession.
Q&A with Monroe Capital: How Will Tariffs Impact Private Credit? In this Q&A, we explore how Trump’s tariffs may impact the broader economy and private credit market, along with how Monroe Capital navigates market volatility.