Emerging Market Debt

For investors, higher secular growth rates and spread pick-up in emerging markets are characteristics that can offers a compelling risk/return profile relative to developed markets. We evaluate backward-looking data but place greater emphasis on forward-looking risk, which could be driven by socio-political developments, policy decisions, economic data surprises or regulatory changes. The BlueBay Fixed Income Team has invested in the emerging markets asset class since 2002 and offers active long only, total return and hedge fund solutions across sovereign and corporate debt, in both hard and local currency.

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