In September 2010, Clothilde joined Natixis Asset Management as Currency and
Global Emerging markets debt portfolio manager.
He became cohead of
the global emerging markets debt group that year.
Not exact matches
He points to high levels of
global debt, low liquidity in
markets, political events affecting trade and structural imbalances in some
emerging economies.
And David Kelly, chief
global strategist at JPMorgan Funds, said he liked
emerging markets local
debt.
She began her career working in Mergers & Acquisitions and
Debt Capital
Markets, and became the
Global Head of Analyst and Associate Acquisition and Development, leading the effort to build a global pipeline of emerging advisor t
Global Head of Analyst and Associate Acquisition and Development, leading the effort to build a
global pipeline of emerging advisor t
global pipeline of
emerging advisor talent.
«The sale of some state - owned enterprises should help lower Vietnam's rising national
debt [and] also attract significant foreign direct investment,» Chetan Sehgal, director of
global emerging markets and small cap strategies at Templeton Emerging Markets Group, said in a
emerging markets and small cap strategies at Templeton Emerging Markets Group, said in an
markets and small cap strategies at Templeton
Emerging Markets Group, said in a
Emerging Markets Group, said in an
Markets Group, said in an email.
But unlike the 2011 rout, sparked by the eurozone
debt crisis, the sudden collapse of
global equities
markets that began last week is all about China — which makes it all the more unnerving since few have a good grasp on how the world's most important
emerging economy actually works.
Our
emerging markets unit includes the sales and trading of
global sovereign
debt, non-US corporate
debt and local currency
debt.
As CNBC notes, Roubini predicted in May that four elements — stalling growth in the U.S.,
debt troubles in Europe, a slowdown in
emerging markets, particularly China, and military conflict in Iran — would come together in to create a storm for the
global economy in 2013.
Our
Global Market Strategies segment, established in 1999 with our first high yield fund, advises a group of 46 active funds that pursue investment opportunities across various types of credit, equities and alternative instruments, including bank loans, high yield
debt, structured credit products, distressed
debt, corporate mezzanine, energy mezzanine opportunities and long / short high - grade and high - yield credit instruments,
emerging markets equities, and (with regards to certain macroeconomic strategies) currencies, commodities and interest rate products and their derivatives.
Through November 2017, US and many
global equity
markets were up double - digits, and broad corporate and
emerging -
market debt indexes posted strong returns as well.
That They Will Eventually Release Most Of Their QE'ed Sovereign
Debt From Their Balance Sheets [as
global inflation
emerges] Into The
Market... Mostly Via Non-Reinvestment At Maturity.
Amid an
emerging markets debt crisis in 1998, the Fed cut interest rates to try to guard the United States against economic fallout, which helped the stock
market gain a whopping 29 percent that year despite the
global troubles.
John Stopford, portfolio manager of the Investec GSF
Global Strategic Income Fund and co-head of the Investec multi-asset team, says 2014 may be a difficult year for corporate credit and a modest one for
emerging markets debt, «but there may be an attractive long - term buying opportunity later in the year.»
Liam is our Head of
Emerging Markets Debt, overseeing a
global team of EMD portfolio managers and holding ultimate responsibility for the commercial growth of the EMD business and delivering strong investment performance across our wide range of products.
We have seen an expansion of
global high - yield
debt issuance, particularly in European and
emerging markets during this cycle (as shown in Exhibit 1).
Central bank intervention in
global bond
markets has «crowded out» many traditional fixed income investors, driving them to seek yield and income from non-traditional and riskier asset classes such as high yield,
emerging markets debt, leveraged loans and private credit.
JP Morgan
Emerging Market Bond Index The JPMorgan Emerging Markets Bond Index Global («EMBI Global») tracks total returns for traded external debt instruments in the emerging markets, and is an expanded version of the JPMorgan
Emerging Market Bond Index The JPMorgan
Emerging Markets Bond Index Global («EMBI Global») tracks total returns for traded external debt instruments in the emerging markets, and is an expanded version of the JPMorgan
Emerging Markets Bond Index Global («EMBI Global») tracks total returns for traded external debt instruments in the emerging markets, and is an expanded version of the JPMorgan
Markets Bond Index
Global («EMBI
Global») tracks total returns for traded external
debt instruments in the
emerging markets, and is an expanded version of the JPMorgan
emerging markets, and is an expanded version of the JPMorgan
markets, and is an expanded version of the JPMorgan EMBI +.
For instance, this year through the end of November, EM
debt in USD, as represented by the J.P. Morgan EMBI
Global Index (EMBIG), returned 2.77 percent, outperforming EM equities, as measured by the MSCI
Emerging Markets Index.
A moderate spillover would lead to similarly muted effects on major indexes, with an incremental fall of 2.8 % in
global stocks and modest losses in corporate and
emerging -
market debt.
HSBC Mortgage Fund HSBC Canadian Bond Fund HSBC
Emerging Markets Debt Fund HSBC Monthly Income Fund HSBC U.S. Dollar Monthly Income Fund HSBC
Global Corporate Bond Fund
EM
Debt is represented by the JP Morgan GBI
Emerging Markets Global Diversified Index, which is a comprehensive global, local emerging - markets index, and consists of liquid, fixed - rate, domestic - currency governmen
Emerging Markets Global Diversified Index, which is a comprehensive global, local emerging - markets index, and consists of liquid, fixed - rate, domestic - currency government
Markets Global Diversified Index, which is a comprehensive global, local emerging - markets index, and consists of liquid, fixed - rate, domestic - currency government
Global Diversified Index, which is a comprehensive
global, local emerging - markets index, and consists of liquid, fixed - rate, domestic - currency government
global, local
emerging - markets index, and consists of liquid, fixed - rate, domestic - currency governmen
emerging -
markets index, and consists of liquid, fixed - rate, domestic - currency government
markets index, and consists of liquid, fixed - rate, domestic - currency government bonds.
Fixed - income ETFs manage about US$ 576 billion of
global assets, ranging from Treasuries to high - yield corporate bonds and
emerging -
market debt.
Samuel Finkelstein is head of Currency, Commodities and
Emerging Market Debt strategy teams within the
Global Fixed Income team in GSAM.
The strategy can also invest in
global governments, government agencies, supranational issuers, below investment grade and
emerging market corporate
debt.
Rob's investment responsibilities are focused on
global multi-currency fixed income,
emerging market debt and
global high income portfolios.
We can invest in just about any part of the
global bond
market but most of it is in credit so we subdivide the
market into corporate credit and below investment grade corporate credit,
emerging market debt.
The fund's investment adviser, Vanguard Fixed Income Group, seeks to outperform the JP Morgan EMBI
Global Diversified Index by investing in a broadly diversified portfolio of
debt issued by
emerging market governments and government - owned enterprises, with a majority of its assets either denominated in, or hedged back to, the U.S. dollar.
Aggregate and multi-strategy; Cash / liquidity; Convertibles; Credit;
Emerging market debt relative return;
Global; Government; High yield; Insurance - linked securities; Tax - exempt
Class A shares with sales charges performance reflects the maximum 5.5 % sales charge, with the following exceptions: Class A shares of Hartford
Emerging Markets Local
Debt, Hartford High Yield, Hartford Inflation Plus, Hartford Municipal Opportunities, Hartford Municipal Real Return, Hartford Strategic Income, Hartford Total Return Bond, Hartford World Bond, Hartford Schroders
Emerging Markets Debt and Currency, Hartford Schroders Tax - Aware Bond, Hartford Schroders
Emerging Markets Multi-Sector Bond and Hartford Schroders
Global Strategic Bond reflect a maximum 4.5 % sales charge; Class A shares of Hartford Floating Rate and Hartford Floating Rate High Income reflect a maximum 3.0 % sales charge; Class A shares of Hartford Short Duration reflect a maximum 2.0 % sales charge.
Granted, the Federal Reserve may soon determine that the
debt binges of foreign developed nations,
emerging market countries,
global corporations and U.S. energy companies threaten the stability of the
global financial system... again.
EMD:
Emerging Markets Debt REITs: Real Estate Investment Trust ILBs: Inflation - Linked Bonds MBS: Mortgage - Backed Securities TIPS: Treasury Inflation Protected Securities The example presented is for illustrative purposes and reflects the current opinions of Wellington Management
Global Multi-Asset StrategiesSM team as of the date appearing in this material only.
But it's not clear where Smurfit stands in this regard — there are certainly fresh threats to
global growth, and
debt overhang will restrain the developed
markets for years to come — on the other hand, Smurfit's now a dominant player,
emerging markets continue to perform well, and Western central banks continue to pump out a tsunami of liquidity to combat
debt deflation.
Kotak Balance (Apr. 15, 2008), Kotak Monthly Income Plan (Apr. 15,» 08), Kotak Bond (Regular Plan)(Apr. 15,» 08), Kotak Gilt Investment (Regular & PF - Trust)(Apr. 15,» 08), Kotak
Global Emerging Market Fund (Apr. 15,» 08), Kotak Equity Savings Fund (Oct. 13,» 14), Kotak Gold ETF (Jul. 27,» 07), Kotak Gold Fund (Mar. 25,» 11) Business Experience Mr. Abhishek has been associated with the company since October 2006 and his key responsibilities include fund management of
debt schemes.
These sectors are U.S. Treasurys,
global treasurys ex-U.S., U.S. investment - grade corporate bonds, U.S. mortgage - backed securities, U.S. high - yield corporate bonds and
emerging market sovereign
debt.
The EM corporate
market is still small relative to developed
markets debt outstanding despite
emerging markets countries» increasing contribution to
global GDP...»
Nationwide Amundi
Global High Yield Fund, Nationwide Amundi Strategic Income Fund, Nationwide Bond Fund, Nationwide Bond Index Fund, Nationwide
Emerging Markets Debt Fund, Nationwide Government Bond Fund, Nationwide Loomis Core Bond Fund, Nationwide California Intermediate Tax Free Bond Fund, Nationwide National Intermediate Tax Free Bond Fund, Nationwide Loomis Short Term Bond Fund, Nationwide Inflation - Protected Securities Fund, and Nationwide Ziegler Wisconsin Tax Exempt Fund Class A shares have up to a 2.25 % front - end sales charge and a 0.25 % 12b - 1 fee.
Nationwide Amundi
Global High Yield Fund, Nationwide Amundi Strategic Income Fund, Nationwide Bond Fund, Nationwide Bond Index Fund, Nationwide California Intermediate Tax Free Bond Fund, Nationwide
Emerging Markets Debt Fund, Nationwide Inflation - Protected Securities Fund, Nationwide Loomis Core Bond Fund, Nationwide Loomis Short Term Bond Fund, Nationwide National Intermediate Tax Free Bond Fund, and Nationwide Ziegler Wisconsin Tax Exempt Fund Class A shares have up to a 2.25 % front - end sales charge and a 0.25 % 12b - 1 fee.