Emerging Markets Debt

Investment Goal

We seek to produce attractive risk-adjusted returns over the long term through credit, country, and currency exposure.

Our Approach

We believe return potential is best captured over the long term through country, sector and issuer-level research, an established relative value process, and robust credit monitoring.
£3.8 Bn1
Emerging Markets Debt Strategy assets

Related Strategies

Emerging Markets Debt Blend

AUM

£1,781.5 M

Index

Focuses on global relative value, including country, corporate and currency exposure.

Inception Date

11/1/2006
Emerging Markets Government Bond

AUM

£1,278.0 M

Index

Focuses primarily on emerging markets government and quasi-sovereign debt country selection.

Inception Date

6/1/2016
Emerging Markets Corporate Bond

AUM

£256.4 M

Index

Focuses primarily on corporate emergings markets debt issuer selection.

Inception Date

6/1/2016
Emerging Markets Investment Grade Debt

AUM

£454.4 M

Index

Focuses primarily on emerging markets investment grade corporate and sovereign issuer selection.

Inception Date

4/1/2015

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As of September 30, 2024. At estimated fair value.

Investors should carefully consider their investment objectives, risks, fees, charges and expenses before investing any money. To obtain this and other information, please email icg@metlife.com to request more information. Please review the Terms of Use of this site for additional details.

All investments involve risk. The value of your investments can go down as well as up, so you could get back less than you invested.