Urban Larson, product specialist, emerging markets debt at Standish, gives his view on the volatility affecting emerging markets bonds and currencies.
The Argentinian central bank's decision to reduce sales of US dollars may signal a move to preserve its foreign exchange reserves, says Mike Simpson, Investment Manager, Baring Latin America Fund at Baring Asset Management.
Dire growth rates and the threat of insolvency hanging over banks has caused Eaton Vance managers to heavily short both French and Spanish debt.
Greece has fallen out of a list of the top ten riskiest sovereign credits after restructuring its debt, but a number of other sovereigns are still at risk, new research has revealed.
Renaissance Asset Managers (RAM) has announced the launch of a Frontier Markets fund to invest in markets with a forecast GDP growth of over 4%.