Top Tweets for #EmergingMarketsDebt
In a recent interview with @ReutersGMF our Marcelo Assalin, CFA, discusses the #EmergingMarketsDebt team’s constructive general outlook for #EMD in the wake of rising inflation, which he sees as more transitory. Read the interview here https://t.co/g6Ff6L5NBp
Emerging markets high yield corporate bonds have been a bright spot within #emergingmarketsdebt over the past year, despite the increase in US interest rates. Learn more: https://t.co/CaGO4vT9JJ

Portfolio Manager, Lewis Jones, CFA, explains why he expects #EmergingMarketsDebt issues in local currency to outperform other fixed-income asset classes in coming quarters, with several factors underpinning his positive forecast. Watch the full video here https://t.co/QLFbyx6gDz
Yvette Babb, on our #EmergingMarketsDebt team, contributed to the @PRI_News report that explores #ESG engagement in sovereign debt investing and highlights how existing engagement channels can be used to step up #ESG conversations with country stakeholders https://t.co/XjoeTEt0cA

We are excited to announce that Clifford Lau, CFA, joins the #EmergingMarketsDebt team as a portfolio manager in our new Singapore office. https://t.co/dwlo1xhXu3

He continued by suggesting that the aftershocks to be most concerned with were: 1) continued deterioration of the #Covid situation in the U.S., 2) forthcoming problems in the loan and commercial #RealEstate sectors, and 3) possible #EmergingMarketsDebt crises.
Our #EmergingMarketsDebt team: “Partly as a result of having a lender of last resort, emerging markets hard currency bonds tend to have much lower ex-post default rates and much higher recovery rates than credit spreads imply.” #COVID_19 https://t.co/QKd0IDXRqe
We have expanded our #EmergingMarketsDebt capabilities with the launch of a new SICAV fund to provide exposure to the growing opportunity set within developing countries. #ActiveNeverRests https://t.co/89KEwjDEvx
The WB #EmergingMarketsDebt team has a positive outlook on the investment implications of the #coronavirus. Read more to see why https://t.co/28UuKZOuC8
Why #ESG? Our Yvette Babb of the #EmergingMarketsDebt team discusses why the team believes #ESG is an integral part of sovereign risk analysis. https://t.co/A9iDm91AT3
Our edge in #EmergingMarketsDebt runs deep. See why we believe that a combination of bottom-up and top-down expertise deepens our understanding of performance drivers and improves the decision making process. https://t.co/FO3CuXl8Yr
VIDEO: Learn more about our edge in #EmergingMarketsDebt on the #WBInsightsBlog https://t.co/2vx2buJOg0

WHY NOW: See why we believe that a strategic allocation to #EmergingMarketsDebt can improve risk-adjusted return potential for portfolios of all degrees of sophistication. https://t.co/Nz5tQTY7Ar
READ ALL ABOUT IT! Our #EmergingMarketsDebt team discusses in a brand new Q&A how they view and integrate #ESG factors in a highly analyst driven approach. https://t.co/KeCh6qr7He

Marcelo Assalin, CFA, explains why he believes that a strategic allocation to #EmergingMarketsDebt can improve risk adjusted potential for all portfolios. Read more https://t.co/phwcBc3O9h #WBInsightsBlog.

Meet our new emerging markets debt team and learn about the factors supporting opportunities in #EmergingMarketsDebt. #ActiveNeverRests https://t.co/7tK35gQk7F

Hermes – Fixed Income Quarterly Report -> https://t.co/jEJN40UH9f #fixedincome #highyield #EmergingMarketsDebt #EMD #CCC #Credit via @Hermesinvest
What should investors keep an eye on in the fourth quarter? Muni-market demand, for one thing. Get more of our experts’ Q4 views in #MarketView. https://t.co/KmOOo53aON #municipalbonds #growthstocks #fixedincome #highyield #emergingmarketsdebt

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