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A Review of Recent European High Yield Bond Covenant Flex YTD 2026

European High Yield Bond Covenant Flex

A Review of Recent European High Yield Bond Covenant Flex YTD 2026

Kirsten Heenan, J.D.: Senior Covenant Analyst

10 June 2026

Download the Full Report to gain insights on:
  • How investor pushback is influencing covenant protections across new European high yield bond issuances.
  • What covenant flex trends reveal about issuer leverage over documentation negotiations.
  • Why EBITDA adjustments, basket capacity, and value leakage remain key investor concerns.
  • Where successful covenant tightening has emerged during pre marketing and launch processes.
  • Which documentation provisions offer the greatest insight into evolving creditor protections.

Executive Summary

European high yield markets continue favoring issuers despite selective investor successes. Documentation negotiations remain important for preserving creditor protections.

Investors achieved meaningful covenant improvements in targeted situations. Market conditions still constrain broader documentation tightening efforts.

Covenant protections increasingly focus on value leakage and calculation flexibility. These provisions remain central areas of negotiation activity.

Meanwhile documentation outcomes vary across transactions and market environments. Successful changes depend on investor engagement and issuer objectives.

However covenant developments provide insight into evolving market standards. Careful review helps identify areas vulnerable to flexibility expansion.

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