Established expertise in emerging market debt (EMD), managing over US$13.7 billion, as of 31 December 2017, for our clients.

We offer a range of EMD strategies that span the EMD universe from benchmarked, hard currency sovereign, hard currency corporate and local currency sovereign strategies as well as total return strategies that allocate across the EMD universe.

Our flexible investment approach seeks to identify and capture the diverse opportunity set available in emerging markets and deliver consistently strong risk-adjusted returns through market cycles.

Globally integrated - by fostering collaboration between teams based in London, Chicago, Singapore and Warsaw, we maximise the potential for differentiated idea generation across the emerging debt universe.

Flexible idea generation - the combined consideration of macroeconomic, fundamental, valuation and technical factors helps us generate consistent performance through market cycles.

Risk-aware process - disciplined focus on the balance between risk and opportunity helps us to deliver strong risk-adjusted returns.