Fundamentals Provide Strong Tailwind
We believe a strategic allocation to emerging markets debt can improve risk-adjusted return potential for portfolios of all degrees of sophistication.
KEY FEATURES AND POTENTIAL BENEFITS
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 helping you achieve successful investment outcomes. Contact us to learn how we can partner with you.