Our BlueBay Emerging Market Credit specialists have invested in emerging market debt for over twenty years. We manage a broad spectrum of investment profiles with varying liquidity characteristics and sub-asset classes across sovereign and corporate debt, in both hard and local currencies.
We are a large and well-versed research team, specializing in the regions where we invest. By relying on first-hand knowledge and leveraging our established networks, we create mosaic theory* high-conviction ideas, helping us identify risks and uncover opportunities.
We combine diverse cultural and geographic backgrounds with complementary skills to understand how events, people, and data are interconnected – and how to act on these insights.