BX Stock Research, Signals & Filings
Drillr aggregates AI research, SEC filings, earnings signals, alt-data and financial tables for BX. 4 published articles.
Latest Research
Which Private Credit Lenders Face the Steepest Penalty Risk as SEC Scrutiny Climbs 28%?
The SEC's non-compliance notices to Blackstone and PIMCO signal a regulatory shift in the $1.7T private credit market that the tape hasn't priced into BDC yield spreads. Prospect Capital's $8.9B asset base, 127 portfolio companies, and history of prior SEC actions create 3x the compliance surface area of Main Street Capital's cleaner book. Short PSEC vs long MAIN targets 400bps of yield spread compression over six months as compliance costs surface and potential penalties force a dividend cut.
PSECMAINARCCWhich Banks Capture the $197B IPO Wave: Goldman and Morgan Stanley or the Diversified Giants?
Blackstone's Q1 beat and 'best year ever' IPO forecast confirm the $197B pipeline is executable, yet Goldman Sachs and Morgan Stanley trade at the same 12-13x forward multiple as JPMorgan despite deriving 18-22% of revenue from investment banking versus JPM's 7%. Long GS and MS versus JPM over six months targets 8-12% relative return as Q2 and Q3 underwriting revenue surfaces the fee differential.
GSMSCOINFed Private Credit Crackdown: JPM at Risk While BX, APO, KKR Stand to Win
The Federal Reserve's scrutiny of banks' private credit exposure creates a divergence in financial stocks: traditional banks like JPMorgan face regulatory risks while alternative asset managers like Blackstone and Apollo stand to gain market share. This analysis ranks six financial giants based on their exposure and positioning for the coming regulatory changes.
JPMGSMSPrivate Equity Exit Slump: Why BX and APO Are Winning While KKR and CG Fall Behind
PE exit volumes slumped amid high rates, AI disruptions, and Iran war volatility, spotlighting managers like Blackstone and Apollo with strong FRE and credit focus over realization-heavy peers. Analysis ranks BX, APO, and BAM as top picks based on FY2025 growth, margins, and guidance. Investors should monitor Q1 realizations and rate cuts.
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