Emerging Market (EM) debt currently represents a compelling opportunity for investors within the fixed income universe. Strengthening economies in many EM countries, rising growth forecasts and attractive prices puts EM investing on a much firmer footing for future growth.
As emerging markets are a collection of very diverse economies, it follows that the impact of various risk scenarios will vary significantly from country to country. For investors considering EM exposure in their portfolio, doing so based on the quality of fundamentals is the intelligent choice.
Join our webinar as we examine the latest emerging market trends and why risk-mitigation should be central when assessing each emerging market.