Worst may be over but challenges remain
Especially for emerging market countries
Especially for emerging market countries
The sustainable goals help to identify ‘true’ sovereign risk, selected manager Candriam says
Chinese firms are among the worst hit, but could opportunities arise in another big emerging market?
BlueBay Asset Management’s head of EM debt talks ESG, Africa and liquidity
Some benchmarks and asset classes can lack ‘real’ diversification
EM experts at Aviva Investors, Berenberg and FTSE Russell comment on European investor sentiment
Fund seeks access to broad spectrum of short-dated emerging market credit across 58 countries
Fund manager Michael Hasenstab had a reputation for taking risks and investing in volatile sectors
Ucits-compliant Pictet TR-Sirius fund will invest in range of EM sovereign bonds, interest rates and currencies
New index trackers offer exposure to Chinese and eurozone equities and emerging market bonds with ESG screening
After a bumpy start, investors are getting to grips with risk opportunities under Amlo, says Barings’ Omotunde Lawal
President Volodymyr Zelensky’s landslide victory this year has boosted hopes that IMF-led reforms will accelerate