"I suppose you could say look at Korea and Taiwan and ignore the rest," said Oliver, adding that China could also belong in the "good camp." "China isn't too heavily reliant on foreign investment. It has a relatively small budget deficit and its debt problems are not as bad as people...
Emerging-Market Sovereign Debt Needs ESG Scrutiny Mar 10, 2022 2 min watch Christian DiClementi|Portfolio Manager—Emerging Market Debt Patrick O'Connell, CFA|Director—Fixed Income Responsible Investing Research Transcript Patrick O'Connell:At AllianceBernstein, we feel like we have a d...
Emergingmarketdebt Agnès Belaisch Head of Emerging Market Strategy Repricing of risk Over the past year, changes in investors’ perceptions of relative risk have caused significant turmoil in world markets. In particular, Europe and the US are now taking turns as the key risk in investors’ ...
Focuses on the state of emerging-market bonds as of September 18, 2002. Discussion of a long-term trend whereby emerging-market bonds have outperformed other major investments since the 1990s; Factors which should have, but did not, negatively affect this sector, including Latin American financial...
interest rates which could present problems for heavily indebted emerging markets and their international creditors. Es... B Eichengreen,A Mody 被引量: 8发表: 1997年 Can Ownership Restrictions enhance Security Value? An Examination of Emerging Market Debt number of students provided data and related...
historical tightening of the spread between emerging market debt and Treasury bonds was a onetime gain. The spread may tighten further, but the big gains have already been had. Also keep in mind that, in a crisis, emerging market debt funds can suffer steep losses, such as 2008’s 18% d...
Christian DiClementi|Portfolio Manager—Emerging Market Debt For emerging-market debt (EMD), 2022 is shaping up to be a contest of conflicting forces. Investors will need to pinpoint pockets of resilience among the many macroeconomic challenges facing the asset class. ...
(although market-friendly President Noboa still has a strong chance to win). Middle East volatility has renewed investor interests inLebanon, as investors presume a likelihood that, with a weakened Hezbollah, the country would be finally able to form a government and eventually begin a ...
by the low level of domestic interest rates are starting to buy emerging market debt in a bid to match liabilities with assets that can provide the necessary long-term return. As global investors come to appreciate the structural shifts that have occurred in the balance ...
Emerging market debt burdens may be sorely understatedonlinkedin(opens in a new window) current progress 0% Jonathan Wheatley April 3 2020 9 Unlock the Editor’s Digest for free Roula Khalaf, Editor of the FT, selects her favourite stories in this weekly newsletter. ...