OUR STRATEGIES | WILLIAM BLAIR EMERGING MARKETS DEBT HARD CURRENCY STRATEGY

EMERGING MARKETS DEBT

William Blair Emerging Markets Debt Hard Currency Strategy

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Combining Top-Down and
Bottom-Up Analysis

We believe a combination of bottom-up and top-down expertise deepens our understanding of performance drivers, improving the decision-making process.

KEY FEATURES AND POTENTIAL BENEFITS

Broad Exposure

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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Our active ownership culture creates long-term client relationships by aligning with your interests and helping you achieve successful investment outcomes. Contact us to learn how we can partner with you.

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