UK Adviser
Macro Considerations: Understanding Nuances in Emerging Market Debt
However, the impact of the invasion has varied enormously across asset classes and markets. For professional investors looking to add risk in emerging markets debt, it’s never been more important to understand how the impact of global macroeconomic trends varies for different segments of the asset class and the specific economic profiles of the different countries.
In Episode 2 of M&G’s Original Series, ‘Uncovering Emerging Market Debt,’ we’re exploring the macro-economic risks for emerging markets debt as an asset class and discussing how the impact of current geopolitical uncertainty varies by region and asset class.
Join us in the second episode of the series, as we discuss:
- Key drivers and considerations for investing in different EMD assets
- Macro trends impacting EMD: How global politics and current affairs affect returns
- Differences and similarities between geographic regions: Mainstream vs Frontier. Latam, Asia, -
- Developing Europe
- And more…