All Emerging Market Debt articles – Page 6
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News
Joseph Mariathasan: Argentina’s 100-year bond
Are backers of the South American country’s ultra-long-term government debt being wise or foolish?
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China takes major step to opening up bond markets
Bond Connect agreement between People’s Bank of China and Hong Kong Monetary Authority launched yesterday
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Swiss pension fund tenders $150m EMD mandate via IPE Quest
Blended strategy for investing in sovereign bonds sought
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Joseph Mariathasan: Venezuela – is the risk priced in?
Venezuela may be a mess, but what counts is whether asset prices reflect the risks
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Allianz' Austrian pension funds dominate 3 and 5-year returns
Mercer data also shows strong results for VBV in higher risk category
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DAX companies’ liabilities reach record high
German companies’ pension liabilities approach €400bn, but asset increases leave funding position unchanged
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France's FRR nets 5% gain through EM, high yield, equity
Pension reserve fund’s return-seeking portfolio returns 8.2%, hedging portfolio 3.1%
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EMD allocations lead returns at ING, SCA, Unisys
Dutch schemes report annual profits of up to 10.5%
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Austria's VBV: wrong on Brexit but right on credit strategy
Major Austrian pension fund returns 3.4% for 2016
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Strathclyde scrutinises equity holdings over carbon emissions
Scottish fund to engage with companies, asset managers to reduce carbon footprint
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Asset Class Reports
Pay heed to ‘feel good’ factors
Socio-economic factors have a strong influence on an emerging market’s competitiveness and ability to generate economic growth over the long term, writes Joseph Mariathasan
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Asset Class Reports
Investing In Emerging Market Debt: Reasons for optimism
Daniel Ben-Ami looks at why asset managers are increasingly upbeat about emerging markets
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Asset Class Reports
Sensitivity of selected EM debt funds to macro factors
The chart data shows the sensitivity of the five largest emerging market debt (EMD) funds to changes in macroeconomic factors: emerging market default spreads; global term spreads; and emerging market dividend yields
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Asset Class Reports
Big picture remains positive
Joseph Mariathasan surveys the prospects for emerging market debt in the world’s main regions
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Asset Class Reports
Liquidity: Are emerging markets roaring back?
Michael Howell says investors should pay more attention to emerging markets as liquidity conditions are improving while those in developed markets are deteriorating
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Strathclyde tenders £250m EM debt mandate as part of strategy shift
UK’s largest local authority fund continues shift towards short-term enhanced-yield strategies
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Strathclyde OKs EM debt, US credit allocation to wrap up strategy shift
Western Scotland’s £16bn pension fund agrees £30m infrastructure investment
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Joseph Mariathasan: Should investors revisit local-currency EMD?
Joseph Mariathasan weighs the pros and cons of local-currency emerging market debt
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Emerging-market losses at Norwegian oil fund offset by real estate
Returns of 10% from real estate see asset class outperform equities and fixed income for second year running
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NEST appoints EM debt manager but keeps quiet on strategy timeline
UK defined contribution fund says mandate set to account for up to 10% of assets during growth phase