Emerging Market Debt I Beyond the Benchmark
June 11, 2026 - 9:00 amIs it time to re-evaluate ‘risk’ in emerging market bond markets?
While the once-unassailable Developed Markets struggle with fiscal fragility and policy uncertainty, much of the emerging world has spent a decade building the structural resilience. Despite this, relative yields on offer are compelling, diversification evident, and alpha potential, rich.
In this fascinating Emerging Market Debt panel, we bring together expert managers, UBP and Barings to strip away the jargon and dissect the full EMD spectrum. From the volatility of Local Currency to the hidden resilience of EM Corporates, the potential of Frontier Markets, and the risk/return opportunity in Hard Currency.
Our wealth leaders include CIOs and Fixed Income research leads.
Sponsors
UBP
Ninety One
With panellists
Portfolio Metrix
Trinity Bridge
Scottish Widows
GreenRam