Funds & Fund Managers
EM chief: investors need to stop overreacting
Vontobel’s Luc D’hooge says investors in the sector tend to over react to market moves.
Mirabaud poaches A-rated manager to run EMD fund
Swiss firm launches developing world strategy for new recruit.
Why EMD investors need to be cautious with ETFs
BlackRock’s Sergio Trigo Paz says fixed income is going through a great transition.
The unloved markets making this global macro manager tick
From shorting overvalued commodity calls to post-coup recoveries, Mike Cirami reveals his playbook.
Why BlueBay’s Kurdyavko is buying up Chinese credit
Chinese bonds could be on the Silk Road to recovery, says BlueBay EM expert.
Hasenstab: how the Asian Financial Crisis changed EMs
Franklin Templeton’s Michael Hasenstab believes Indonesia's reforms will protect the country from another crisis.
Brexit will keep BOE from raising rates, says HY CIO
Invesco’s CIO of high yield and multi-sector credit explains how he is betting around the Brexit negotiations.
BNP Paribas AM hires currencies PM for EMD team
Asset management group announces newly-created role within developing world debt unit.
Why ‘burned’ investors are warming to alternative EMD
Sector specialist Arif Joshi highlights his best currency bets for 2017 and beyond.
AA-rated manager: why the market is wrong on Fed rates
BlueBay’s Russel Matthews says he is betting the market is wrong on the amount of Fed rate hikes.