Nordea AM: Outlook emerging market debt - podcast episode cover

Nordea AM: Outlook emerging market debt

Dec 07, 202029 minSeason 1Ep. 3
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Episode description

The most important factor for emerging market debt continues to be monetary support, particularly from the Federal Reserve, in 2021. Fixed income markets are flooded with dollars, and that benefits emerging markets. 'The asset class offers an attractive risk-return profile, plus yield pickup', says Witold Bahrke, Senior Macro Strategist in the EMD team at Nordea Asset Management.  

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