Emerging Markets Debt
Seeks greater return potential and the ability to boost income and yield by investing in diversified portfolios of emerging markets securities.
Emerging markets debt provides investors with opportunities to diversify portfolios and boost long-term returns.
We believe that our multi-dimensional, disciplined emerging markets debt investment process can help generate strong risk-adjusted returns for clients. We seek to achieve this in our emerging markets debt strategies by combining macroeconomic research with fundamental country and credit analysis.
We offer a range of strategies covering emerging markets corporate debt, hard currency and local currency sovereign debt, and total emerging markets portfolios combining both equity and debt allocations.