The Aberdeen Emerging Markets Bond Fund draws on the breadth and depth of experience of Aberdeen's long history of investing in both the emerging market debt and equity markets. The Fund is managed by a well-resourced, stable and highly experienced team with a robust track record of investing in Emerging Market (EM) debt across a number of market cycles.
Risk Warning: The value of investments and the income from them can go down as well as up and your clients may get back less than the amount invested.
Reasons to consider
Long history of investing in both the emerging market debt and equity markets
Well resourced, stable and highly experienced team with a robust track record of investing in EM debt across a number of market cycles.
We conduct fundamental top-down and bottom-up credit analysis providing comprehensive coverage of all factors deemed relevant to the asset class.
We rely on proprietary research to provide a deeper insight into the countries and companies in which we invest.
Extensive primary coverage of issuers. We research over 50 countries and have over 250 meetings with senior policy makers each year.
Expertise is also drawn from our Asian fixed income and our global emerging market equity teams.