Mapping Geopolitics in Emerging Markets
Exploring the intersection of geopolitics and emerging markets, analyzing risks and impacts amid global uncertainties.
Despite an environment that's been punctuated by unusually high macro and geopolitical uncertainty, several tailwinds are either firmly in place or are taking hold that could have a profound impact on the trajectory of the emerging markets class moving forward. Watch as our panel of experts assess both the macroeconomic backdrop and EM fundamentals, and also outline where we see potential investment opportunities across the emerging markets debt complex.
Featured in this video is Cathy Hepworth, CFA, Head of Emerging Markets Debt, Denis Cole, Emerging Markets Debt Portfolio Specialist, and Magdalena Polan, Head of Emerging Market Macroeconomic Research.
Exploring the intersection of geopolitics and emerging markets, analyzing risks and impacts amid global uncertainties.
Following years of underperformance, we explore five structural factors that should support the emerging markets over the next five years and possibly beyond.
A discussion on ESG for emerging market sovereigns, the challenges of assessing these issuers, and PGIM Fixed Income's sovereign ESG framework.