
Tina Vandersteel on Emerging-Country Debt (Podcast)
Masters in Business
00:00
Investing in Emerging Market Debt
This chapter explores the motivations and strategies behind investing in emerging country debt, highlighting the potential for significant returns through relative value and security selection. It contrasts traditional asset allocation approaches with a focus on identifying undervalued securities and the complexities of risk management in this market. The discussion also delves into currency risks, hedging strategies, and the increasing interest in EM debt amidst a landscape of negative-yielding investments.
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