The state of private credit benchmark report (Q1 2026 edition) Key takeaways from an analysis of 71 of the world’s most established private credit funds.
Why invest in private infrastructure in 2026? 3 charts for investors Explore three charts that explain how private infrastructure investing may be a strategic addition to an investor’s larger portfolio.
Monthly insights: “The good, the bad, and the opportunity” in private markets (December 2025) 2025 was eventful in the world of private markets. In our final Monthly Insights of the year, we recap notable events and provide useful insights for private markets investors preparing for 2026.
2025 year in review: How Heron Finance’s private credit strategy performed against industry peers Since launching our private credit strategy in 2024, we’ve been closely tracking how it performs relative to the broader private credit market. The summary: our approach has delivered stronger performance across returns and key risk metrics compared to a wide range of peers.
Monthly insights: The case for private equity (November 2025) We share five charts that show why private equity has the potential to help accredited investors diversify their portfolios beyond public markets.
Monthly insights: Time to tune out Jamie Dimon (October 2025) This month, we look at why Jamie Dimon's comments shouldn’t be viewed as an alarm bell for private credit (let alone systemic risk). If anything, it is more reflective of challenges in the bank loan market.
What are uncorrelated assets and why do investors care? One of the primary benefits of investing in alternative assets is their lack of correlation with public markets. This article explores that benefit in greater detail, as well as the risks associated with these types of assets.