Where it invests:
The Global Emerging Markets Debt Portfolio invests in fixed income securities issued by companies located in developing countries, and is valued in USD. Return is benchmarked against the JP Morgan Emerging Markets Bond Index - Global Constraint. The investment goal is to achieve satisfactory returns over the long term.
Who is it for:
Investors with a medium-term investment horizon of between 2 and 5 years, looking for a satisfactory return on their capital by mainly investing in fixed income securities issued in emerging markets.
Note:
This fund is also available in Euro as Global Emerging Markets Debt Portfolio (Share Class Euro), with the same portfolio structure.