Emerging Market Bonds

Our emerging-market strategies offer investors access to emerging sovereigns and corporates, and thus the potential to capture attractive growth rates and yields.

We do this through a highly distinctive approach which is based on both qualitative and quantitative considerations.

Our contrarian process differentiates from most other emerging-bond strategies by having a significant focus on a more “bottom-up, country-by-country and bond-by-bond” approach rather than the more usual top-down macro approach. We focus on liquidity, sizing and diversification of issuers in order to limit downside risk.

   

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