Emerging Markets

Sort content by

Investors look to broaden debt exposures

At a time of increasing risk and diminishing returns from traditional government bond investments, a growing number of large investors are beginning to cast their eyes toward emerging markets as a way to broaden their fixed-income portfolios. Paul O’Brien, head of fixed-income strategy at The Abu Dhabi Investment Authority (ADIA), considered by many to be

Strong investor interest in corporate debt

Emerging markets corporate debt is taking on a bigger role in fixed-income portfolios with attractive yields and strong underlying fundamentals relative to both sovereign and developed-market high-yield debt attracting investors. While still beholden to sell-offs in risk assets, emerging markets corporate debt has seen strong inflows from institutional investors driven by returns that have outperformed