Funds & Fund Managers
UBS merges Asian bond into EM strategy
Asia is no longer a 'high yield' component within emerging markets
UBS merges Asian bond fund into wider strategy
The merged strategy will be managed by the head of emerging market fixed income at the firm.
Hasenstab buys $2.25bn of Argentine bonds, reports
Franklin Templeton’s Michael Hasenstab has come to Argentina’s support with a $2.25 billion injection.
Four rated managers clash over approaches to Asian bonds
LONG READ: How to handle rising rates and idiosyncratic challenges in this fast-growing marekt.
Investors warned of Chinese bond risks
Among the risks that investors should be aware of are currency, credit and interest rate risks
Fed rate hike: what it means for Asian markets
South Korea, Philippines and Thailand could have one rate hike this year
UBS launches new fund for HNWIs
The new fund is the private bank's first onshore RMB Luxembourg Ucits fund targeting the wealthy
NAFTA deal too risky for EMs, Asian bonds
Fixed income experts from Schroders and Loomis Sayles discuss why NAFTA is risky for emerging markets and Asian bonds
Asia continues to offer good yield, says Allianz GI
The Fed will likely raise rates further, with up to three hikes this year
Legg Mason's Asian Opportunities fund outperforms peers
Western Asset Management's Desmond Soon reveals how he picks bond issuers