Fixed Income
Korea, Thailand, Philippines and Malaysia
Argentina, Brazil, Mexico and Taiwan
Emerging market debt
India
China and Russia
Today we manage US$70bn in assets in emerging market-focused strategies
LHS: Former Investment Professionals Peter Armitage (left), Tom Sorensen (center) and Bob Kirby (right) explore investment opportunities in Amman, Jordan in 1987.
RHS: Portfolio manager Rob Lovelace is briefed on crop conditions in Malaysia, 1989.
Fixed Income
Election
Emerging Markets
Our EM strategies can complement existing EM equity and debt strategies, addressing different trade-offs between return and volatility. In particular, we recognise that a diverse universe requires a flexible approach to accessing opportunities and managing risk.
FOR PROFESSIONAL INVESTORS ONLY
Marketing communication
All data as at 31 December 2022 unless otherwise stated. Source: Capital Group
EM: emerging markets