Visit the M&G Investments sponsor area

6th January 2017

M&G Bond Vigilantes: Emerging Market Debt

Emerging market debt: 2016 post-mortem and 2017 outlook 

Despite a year of high political turmoil – which of course included the UK EU referendum and the US elections – emerging market assets proved surprisingly resilient to the various global events, even with rising core government yields in the second half of 2016.

Investment Commentary, Investments

Registration

Free Registration and CPD

Related Articles_

Aberdeen: Resilience by design: multi-asset portfolios for volatile markets


A look at the benefits of deliberate, long-term multi-asset portfolio construction.

Read More

BNP Paribas: View from the markets: Fair weather outlook


Increased US share issuance is a sign of equity market exuberance, with investors focused on the exceptional outlook for earnings.

Read More

M&G: What is a safe haven now?


Are traditional safe haven assets still delivering? Explore how changing market conditions are reshaping where resilience can be found.

Read More

You need to be logged in to comment on this article