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.
£3.6 B1
Emerging Markets Debt Strategy assets

Related Strategies

TEST CAPTION
Strategies Strategies Assets1 Attributes Inception Date Fact Sheet
Emerging Markets Debt Blend £1496.0 M Focuses on global relative value, including country, corporate and currency exposure. 11/1/2006 Emerging Markets Debt Blend (PDF)
Emerging Markets Government Bond £1218.2 M Focuses primarily on emerging markets government and quasi-sovereign debt country selection. 6/1/2016 Emerging Markets Government Bond (PDF)
Emerging Markets Corporate Bond £288.6 M Focuses primarily on corporate emergings markets debt issuer selection. 6/1/2016 Emerging Markets Corporate Bond (PDF)
Emerging Markets Investment Grade Debt £559.4 M Focuses primarily on emerging markets investment grade corporate and sovereign issuer selection. 4/1/2015 Emerging Markets Investment Grade Debt (PDF)
Global Leadership Team
We seek to exploit inefficiencies in the market by employing in-depth fundamental analysis across the risk spectrum in conjunction with macro views.

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As of June 30, 2025. At estimated fair value.

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