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21 Feb 2025
1 min read

Podcast: A long-term view on EMD

How has the emerging market debt universe changed in recent decades? What are the portfolio use cases for these assets? And what is the role of emerging markets in a multi-polar world?

Pod Strategy

Answering these questions and more are Uday Patnaik, Head of Emerging Market Debt in our Active Strategies team, and Erik Lueth, Emerging Market Economist in our Asset Allocation team.

This episode is hosted by Harry Brooks, European Content Manager.

You can listen on Apple Podcasts, Audioboom and Spotify.

All data is sourced from Eikon as at 14 February 2025 unless otherwise stated.

For professional investors only. Capital at risk.

Active fixed income High Yield Income Inflation Sovereign debt United States US Dollar Active strategies Index fixed income Multi-asset Central banks Emerging Market Debt (Local) Interest rates China Corporate debt Credit Currency Demographics Emerging Market Debt (Hard) Emerging Markets Government bonds
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Asset Allocation team

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