Emerging Markets Debt

Aegon AM has invested in emerging markets for over 20 years.

Supported by a dedicated sovereign research team and emerging market corporate analysts, we combine top-down and bottom-up perspectives to allocate across countries, issuers and securities. Access to broader sector specialists brings a multi-faceted, analytical research rigor to the process.

Distinguishing characteristics

Qualitative research enhanced by quantitative analytics

Applying a qualitative and quantitative research perspective, we combine top-down and bottom-up research from our dedicated global research teams.

Asset type agnostic, relative-value approach

Coverage spans markets and issuers with a focus on country allocations first, and issuers and securities second.

Global resources, experienced team

Our seasoned portfolio managers are supported by a dedicated Sovereign Research team as well as specialized emerging and developed markets corporate credit analysts and a Distressed Research team.