In this Q&A, Brad Godfrey, CFA, institutional portfolio manager and director of alternative & asset allocation strategies, discusses the recent performance and outlook for emerging-market debt (EMD), paying particular attention to how the pandemic has affected the asset class and where the EMD team sees opportunity across the market.
Points to consider ahead of vote
Equity markets have rebounded over the past month as unprecedented monetary and fiscal stimulus has helped to prop up global economies.
Too early to crystallise losses
At this time of the year, Chinese tourists would typically be seen visiting and spending across a number of global destinations. But with most overseas travel off-limits, Fidelity China Consumer Fund portfolio manager Hyomi Jie analyses the key domestic...
Will patience and discipline win the day?
Outperformers to look out for
Wealth 50 rebranded in June
The case for a pan-continental treasury