William Blair Emerging Markets Debt Hard Currency Strategy
Combining Top-Down and
We believe a combination of bottom-up and top-down expertise deepens our understanding of performance drivers, improving the decision-making process.
Diversified portfolio of debt instruments, denominated in major currencies (mostly U.S. dollars), from sovereign issuers in developing countries, including frontier markets.
Integrated Risk Management
Proprietary ESG analysis integrated into disciplined risk-management approach.
Disciplined Investment Process
Combines bottom-up and top-down research to better identify performance drivers and alpha opportunities.
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Featured Blog Posts
Emerging markets debt (EMD) performance was significantly impacted by the sharp increase in U.S. Treasury yields during the...
Following a commitment to more policy orthodoxy in late 2020, Turkey appears to have once again suddenly changed direction...
Last week the Central Bank of Brazil kicked off a rate-tightening cycle following a sharp rise in inflation in recent months,...
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