XXXXX | Emerging Markets Debt - Hard Currency Fund
Why Invest
Seeks to outperform the benchmark over a market cycle (typically 3 years) by investing in emerging market hard currency sovereign opportunities offering both income and investment returns
Broad Emerging Market Debt Credit Exposure
Integrated credit portfolio that provides the opportunity to invest in dozens of countries, yield curves, industry sectors and issuers across rating buckets, denominated in major currencies
A Robust, Active Research Process
Combines bottom-up analysis with proprietary coverage of 90+ EM countries and integration of ESG factors into the fund’s fundamental investment analysis with a top-down asset allocation framework
Experienced, Stable and Well-Resourced Team
Managed by a well-established investment team with a long-term track record in managing EMD strategies and a multi-site set-up to ensure local perspective is incorporated
Fund Facts
Performance & Exposures
Returns & Distributions
Stewardship & Sustainability
Portfolio Management Team
Documents
Fund Literature - 69 documents
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