News archive including articles on Fund Managers, Fund Selection, Asset Allocation, Absolute Return, Offshore Investments, Tax Shelters, Insurance bonds. Emerging market bonds look increasingly attrac ...
Drivers include the improved credit ratings of these economies and potential Fed rate cuts Read more at The Business Times.
Emerging-market debt is not a single, uniform asset class. It’s a diverse opportunity set with distinct risk and return drivers that can enhance a portfolio when understood correctly. The asset class ...
The TCW Emerging Markets Local Currency Income Fund, I Class returned 9.21% for the second quarter of 2025, outperforming the JP Morgan Global Bond Index Emerging Markets Global Diversified return of ...
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 ...
(EM) positioned to outperform developed markets (DM) as the US dollar enters a weakening cycle, according to analysts.
Emerging market (EM) stocks and bonds are off to a strong start to the year following a stellar 2025. We think returns can deliver again, though selectivity is key. Read more here.
Hungarian bonds extended gains after the latest US pledge of financial support for Prime Minister Viktor Orban, raising new ...