The Emerging Market Debt team applies a holistic, active, research-intensive, risk-managed investment process to source alpha through:
Growth opportunities and attractive yields
Emerging market debt may offer higher yields than developed markets, as the economies of emerging markets may grow more rapidly than those of developed markets and have an expanding middle class expected to drive consumption.
Specialized expertise, global focus
We leverage comprehensive sovereign, currency and commodity research as well as macroeconomic analysis to analyze the impact that global trends have on markets and drive country and security selection. Our global team is focused on uncovering opportunities across borders and in under-researched markets.
The team focuses on maintaining liquidity in their portfolios in an effort to minimize transaction costs, stay nimble and provide the opportunity to shift portfolio positions as needed.
For more information, please contact your GSAM relationship manager