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Fund Selector Hub

Supported by an Advisory Board of fund selectors, the Hub provides unique insights through in-depth interviews and panel discussions.

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Beyond the Volatility: Finding Alpha in Emerging Markets Debt | Brent David, RBC BlueBay Asset Management

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Learning: Unstructured

Geopolitical friction, swinging oil prices, and Fed policy shifts make the late-2026 outlook for emerging markets debt complex, yet high-conviction. Brent David, Senior Portfolio Manager at RBC BlueBay AM, highlights key risks for EM investors, including currency volatility and potential Fed rate hikes. However, stronger central bank credibility and deeper local markets have laid a resilient foundation, creating prime opportunities to generate alpha.

Chapters
  • 03:46 Dollar Outlook and Currency Positioning
  • 13:23 Comparing Emerging and Developed Markets
  • 23:12 ESG Considerations in Emerging Markets