US interest rate rises, international trade tensions and local currency volatility have remained key concerns in emerging markets (EM).
Impact of recent market correction
Elections and currency woes
After very strong returns in 2016 and 2017, emerging market debt (EMD) has underperformed this year amid intensifying concerns around trade protectionism, bear-flattening of the US Treasury yield curve, a strengthening US dollar and idiosyncratic issues...
Second ESG-focused offshore fund
Geopolitical impact on global markets
It has been a challenging year for emerging markets (EMs).