Search Results | Showing 11 - 20 of 89 results for "Market Debt" |
| | ... look at firms investing in: global emerging markets, global listed infrastructure and unlisted assets such as private market debt. Barrow Hanley's 21 strategies cover US, Europe and Far East global and emerging market equities and US fixed income. ... |
| | | ... when invested in less liquid assets," Fitch said. "Regulators have identified property, high-yield bond and emerging market debt funds as most exposed to liquidity risk." This is different from past 10 years, where redemption suspensions have stemmed ... |
| | | ... Nicolas Faller said. UBP is looking to distribute in Australia its absolute-return fixed-income, high-yield and emerging market debt products, alternative solutions (alternative risk premia, hedge funds, hedging overlays, convertible bonds, catastrophe ... |
| | | Eaton Vance has released a new research report finding fundamentals are returning to the forefront in emerging market debt. The research found volatility related to the COVID-19 outbreak and dramatic oil price decline in Q1 2020 precipitated a large ... |
| | | ... markets remain volatile. The depreciation in emerging market currencies would compound already ballooning emerging market debt as their respective governments try to mitigate the economic fallout from the pandemic. |
| | | ... re-establishing longer growth asset positions." Spreads still remain wide on fixed income investments, as well as emerging market debt, Choudhury said. "While those wide spreads might offer an opportunity, the current levels of spreads are more a cautionary ... |
| | | ... totaling up to $150 million. Australian Catholic Superannuation and Retirement Fund has made an allocation to emerging market debt in hard currency. The managers winning the allocation are Ashmore Group and PGIM, who were chosen from 38 managers that ... |
| | | ... undergoing a major restructuring as it struggles to compete in tough market conditions. The assets were tied to emerging market debt and were part of the €282 billion in non-core assets Deutsche Bank chief executive Christian Sewing announced the lender ... |
| | | ... opportunistically invest in a "wide range" of fixed income assets, such as investment grade, high yield, and emerging market debt. The aim is to maximise total return from high current income and long-term capital appreciation. Unlike traditional fixed ... |
| | | ... sector and have provided a cornerstone investment into our fund," MacPherson said. Colchester said the local emerging market debt index was primarily investment grade quality with over 80% of countries rated BBB- or above. Adding that the emerging markets ... |
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