Delivers Diversified Emerging Debt Opportunities in One Fund
Emerging market debt has historically offered low correlation to most major asset classes. The fund extends this benefit by diversifying within its asset class. Seeking opportunities across a broad range of emerging markets, the fund invests in both corporate and government debt sectors. The fund’s securities also may be denominated in either foreign or U.S. currencies, delivering further diversification and return potential.

Managed to Maximize Income Potential While Seeking to Reduce Risk
Targeting the best ideas in emerging market debt,the fund investment team’s approach includes:

  • Carefully articulated themes based on extensive review of world markets, currencies, interest rates and sectors.
  • Dynamic rotation among external debt, local currency debt and corporate debt.
  • An active approach to managing interest rate, currency and credit risk, pursuing an optimal balance of risk and reward.

The Experience to Successfully Navigate Emerging Economies
Federated’s emerging market specialists have a deep understanding of emerging countries and the key factors influencing stability and growth. They are tenured in, and dedicated to, international bond investing and currency trading and have achieved a competitive track record through even the most challenging interest rate, economic and political environments.

Chart the fund's growth

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