All Emerging Market Debt articles – Page 6
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Asset management roundup: Research reveals scale of index industry
Plus: Record years for exchange-traded funds and hedge funds as new money floods in
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China asset management market ‘to grow sixfold in 10 years’
Shanghai consultancy predicts a $12trn market in 2027 with overseas managers running a quarter of this total
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Emerging markets fuel 6.7% return at Switzerland's Publica
Plus: Corporate pension plans’ funding nearly at 10-year highs
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Austrian pension funds return 6% on average in 2017
High equity quota helps boost performance and long-term average returns
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IPE Conference: Political risk in Europe ‘on the decline for first time’
Investors missing opportunities in CEE and Greece as niche markets, delegates in Prague told
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Asset Class Reports
Indices fail to measure up
Global bond indices have serious flaws including a low weighting in emerging markets
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Asset Class Reports
EM debt: Experts clash over debt dynamics
Opinions differ sharply on the sustainability of emerging market debt
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Asset Class Reports
EM debt: China evokes unjustified fears
Many foreign investors fail to grasp the transformation of China’s bond markets
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Asset Class Reports
Latin America debt: A complex opportunity
Latin American debt is no longer just a tactical trade
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Dutch construction sector scheme boosted by commodities, EM
BpfBouw kept its interest rate hedge unchanged in anticipation of stagnation following Brexit decision
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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