XXXXX | Emerging Market Debt Sustainable Investment Grade Blend Fund

Why Invest

Seeks to outperform the benchmark over a market cycle (typically 3 years) by investing primarily in a blend of investment grade rated hard currency and local emerging market currency denominated debt that comply with the Sustainable Criteria

Broad Exposure to Emerging Market Debt with a High-Quality Bias

Exposure to the sizeable universe of investment grade rated emerging market bonds across hard and local currency with a high quality focus and sustainability objectives

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

Why Invest

A blended approach for investors seeking diversified emerging market debt exposure

Broad Exposure to EMD with a High-Quality Bias

Exposure to the sizeable universe of Investment Grade rated emerging market bonds across hard and local currency with a high quality focus and sustainability objectives

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

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Stewardship & Sustainability

Portfolio Management Team

Fund Literature - 10 documents

Fund Literature Documents Listing and Download
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