Drivers include the improved credit ratings of these economies and potential Fed rate cuts Read more at The Business Times.
As U.S. investors diversify portfolios highly concentrated in domestic assets, it's not just international stocks but ...
Finance minister’s request highlights power of benchmark providers and follows strong demand from foreign investors ...
For over a decade, EM corporate bonds have allowed for participation in rising markets while exposing investors to less downside during market downdrafts.
Emerging-market fixed income is no longer just a high-yield satellite allocation. In a world of slower rate cuts, rising fiscal risks and geopolitical uncertainty, it offers diversified income, ...
The investment seeks total return, consisting of income and capital appreciation. The fund normally invests at least 80% of its net assets in emerging market debt securities. An instrument will ...
Investment grade bonds can offer income, differentiation, and a portfolio ballast, with today’s yield environment potentially enhancing their appeal. Active management of IG bond positions can ...
As 2025 draws to a close, global investors are increasingly diversifying beyond crowded U.S. equity markets, and emerging markets (EM) are capturing significant attention. While EM equities have ...
As the first month of 2026 witnessed an intensifying trade war between the United States and Europe over the Greenland dispute, investors are likely to increasingly pivot toward safe-haven assets.
Ivory Coast is regarded as one of the strongest — if not the strongest — of sub-Saharan African sovereign Eurobond issuers. Its Ba2/BB/BB ratings are higher than nearly every other country on the ...
The investment seeks to maximize total return. The fund is an actively managed exchange-traded fund that seeks to achieve its investment objective by investing primarily in bonds issued by, or tied ...
Emerging-market bonds are likely to be supported in 2026 as the securities are increasingly owned by local investors who are less exposed to currency risk and are therefore more resilient holders, ...
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