Our flagship emerging market debt strategy offers diversified exposure to bonds issued by governments, government agencies or companies of emerging market nations in both local currencies and US dollars.
We select investments based on an assessment of global, regional, and country-specific macroeconomic factors, combined with in-depth analysis of individual bond issuers. We maintain a strong focus at all times on valuations, fundamentals, and liquidity.
Through the strategy’s extensive flexibility, we can invest in any emerging market fixed income security, as well as in any currency, to take advantage of different market conditions.
This flexible approach is driven by the research capability of our dedicated team of emerging market debt analysts, working with our extensive in-house team of global credit analysts.