Emerging Markets Debt

Emerging Markets Sovereign Debt

Our seasoned team combines fundamental analysis with quantitative modeling, backed by a rigorous risk management platform.

AUM

$ 4.88 billion as of June 30, 2022

Inception Date

2013

Vehicle Types

UCITS
Separate Account

Investment Philosophy

The strategy seeks to achieve maximum total return, consistent with preservation of capital and prudent investment management, by investing primarily in a diversified portfolio of hard currency bonds issued by EM sovereigns.

Our Value Add

Seasoned emerging markets debt team supported by an extensive platform and proprietary quantitative tools

  • Experienced Team and Extensive Platform: An experienced portfolio management team, proprietary quantitative models and fundamental analysis tools differentiate Barings from its competitors.
  • Proprietary Quantitative Models and In-Depth Macroeconomic Analysis: We identify country-by-country economic cycles and international competitiveness across a wide range of emerging markets and developed economies. This provides a diversified and global perspective to investment opportunities.
  • Risk Management: Risk is monitored throughout the investment process on a bond-by-bond and currency level. The risk management framework includes rigorous quantitative modeling and scenario analysis. 

Portfolio Managers

FIXED INCOME

ESG in Fixed Income

The Intent Beyond the Income

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