Search Results | Showing 1 - 10 of 100 results for "Market Debt" |
| | | ... generate favourable income and capital returns from a globally diversified portfolio of primarily sovereign emerging market debt or debt-like securities and currencies. "Colchester has always focused on doing one thing deliberately well, investing exclusively ... |
| | | | ... European and Asia-Pacific investment grade credit than US investment grade debt, reversing last year's trend. Emerging market debt is also attracting renewed interest, with planned allocations nearly doubling year-on-year as investors pursue higher yields ... |
| | | | ... looking beyond developed markets. Of those planning to increase allocations, 48% plan to allocate more to emerging market debt, compared with 27% last year. "The scale and pace of institutional capital flowing into private markets continues to be substantial," ... |
| | | | ... of global fixed income sectors, including government, securities, investment grade credit, high yield and emerging market debt markets. It offers daily liquidity and aims to outperform the Bloomberg Global Aggregate Index by generating returns consisting ... |
| | | | ... managed the debt sector, which included cash, sovereign bonds, inflation-linked bonds, corporate credit, and emerging market debt, in addition to overseeing liquid alternatives. Earlier in his career, James held positions as a senior investment analyst ... |
| | | | ... offerings. According to product disclosure documents, the Capital Group KKR Core+ fund invests in a range of public market debt securities, including US and other government securities, corporate bonds, mortgage-related securities, and cash. The fund's ... |
| | | | ... economies would help to put downward pressure on the US dollar, which is positive for emerging markets because emerging market debt is priced in US dollars," Mousina said. Lastly, a resolution of major conflicts between Russia and Ukraine, and Israel ... |
| | | | ... income. "The strategy invests in a multi-sector portfolio of global government, corporate, securitised, and emerging market debt. It takes an active approach and moves dynamically across sectors and individual securities with the aim of achieving its ... |
| | | | ... client service teams. He will focus on public and private investment capabilities, including Principal's Emerging Market Debt (EMD) solution. Dunn joins from BlackRock, where he was director of pension (institutional) sales for the Client Business in ... |
| | | | ... Australian institutional and wholesale investors. The fund aims to capitalise on the increased interest in emerging market debt (EMD). Principal said the strategy's total return approach, marked by active investment management and monitoring, devoid ... |
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