26 May 2021

Emerging Market Debt: Strong, Mature, and Core

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by Binay Chandgothia, CFA, Managing Director, Portfolio Manager and Head of Asia

Between persistently low yields generated by traditional fixed income vehicles and the maturation of emerging economies, emerging market debt has evolved to become an essential part of the investor toolkit – adding a layer of diversification to help investors balance risk and reward in a dynamic global environment. In Principal Global Insights' latest bulletin, Binay Chandgothia, Portfolio Manager and Head of Asia Asset Allocation, shares his take on why investors who have long considered EM debt to be ancillary to the core portfolio may want to give the asset class another look.

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