William Blair Emerging Markets Debt Local Currency Strategy
Combining Top-Down and
We believe a combination of bottom-up and top-down expertise deepens our understanding of performance drivers, improving the decision-making process.
Local Currency Exposure
Diversified portfolio of debt instruments denominated in local currencies of emerging markets.
Integrated Risk Management
Proprietary ESG analysis integrated into disciplined risk-management approach.
Disciplined Investment Process
Combines bottom-up and top-down research to better identify performance drivers and alpha opportunities.
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Featured Blog Posts
The overall picture for emerging markets debt (EMD) remains clouded by uncertainty around COVID-19, yet we remain...
As an asset class, emerging markets corporate debt has shown quite a bit of resiliency. Longer term, we think the COVID-19 crisis will likely accelerate trends that were already underway.
Having lived and breathed in emerging markets has given us an understanding of emerging debt markets and keen insight into...
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