Search Results | Showing 31 - 40 of 86 results for "Emerging market debt" |
| | ... sector presents an interesting opportunity for Australian investors, according to Man GLG. Man GLG head of emerging market debt strategies, Guillermo Osses, believes that despite the recent declines in credit quality due to the deterioration in emerging ... |
| | | ... responsible for investment grade corporate, high yield corporate, securitized products, mortgage-backed securities, emerging market debt and money market strategies for Voya's general account and third-party business. As of 30 June, Voya Investment Management ... |
| | | ... Man Group's discretionary investment management subsidiary, Man GLG, has completed its recently established emerging market debt team with the appointment of five senior investment professionals. Based in New York and London the team will work with institutional ... |
| | | Australian institutional investors have not achieved optimal exposure to emerging market debt over the past decade because they have depended on broad global bond strategies which have tended to avoid economies which are unduly perceived as very risky. ... |
| | | ... Investors was founded in 1999. With four strategies spanning global sovereign bonds, global inflation-linked, emerging market debt, and an alpha program, the $46 billion asset manager is based in London and also has offices in New York, Singapore and ... |
| | | Man Group's discretionary investment management subsidiary Man GLG has appointed a head of emerging market debt strategies. Based in New York, Guillermo OssA(C)s joins Man GLG from HSBC Asset Management, where he was working from 2011 overseeing the ... |
| | | ... likely catch up to recent developed markets weakness in the weeks ahead," Lazard argued in its recent monthly emerging market debt review. "Now that we believe the sell-off has begun, we have shifted our attention to uncovering potential triggers for ... |
| | | ... of diversified global fixed interest assets which include a mix of investment grade bonds, high yield and emerging market debt. This portfolio has grown to more than $300 million today. The new mandate is expected to "focus on absolute return rather ... |
| | | ... outperformed their US equivalents comfortably over the last 15 years but while the numbers support the case for emerging market debt, he senses that investors still have unfounded anxiety about allocating to it. "Why won't investors go and take that ... |
| | | Investors considering allocating to emerging market debt should hold fire for the time being because the end of stimulus measures in the US will bring a more attractive risk-reward trade-off. That is the view of HSBC Global Asset Management head of ... |
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