Does the sell-off in Turkey and Argentina represent a buying opportunity or is it a warning signal of deeper malaise? In this webcast, Steve Drew, manager of the Janus Henderson Horizon Emerging Market Corporate Bond Fund, discusses:
•The factors that have been driving emerging market volatility and what might lead to a recovery
•Why a blanket assessment of emerging market bonds fails to recognise the differences and opportunities within the asset class
•Current portfolio positioning and performance