Emerging Markets Debt
Latest insights from our EM Debt team

Did you know…

  • T. Rowe Price has been investing in emerging markets since 1980
  • Our EM debt and equity analysts comprise 22 nationalities and speak 23 languages
  • We cover 75 countries across emerging and frontier markets
Latest Analysis

October 2021 / FIXED INCOME

Exploiting the life cycle of an EM opportunity

Exploiting the life cycle of an EM opportunity

Exploiting the life cycle of an EM opportunity

A case study: Romania 2011 – 2015

By Peter Botoucharov

Peter Botoucharov Emerging Market Credit Analyst

December 2021 / FIXED INCOME

Serbia and the mystery of the 747s

Serbia and the mystery of the 747s

Serbia and the mystery of the 747s

Adventures in sovereign research

By Samy Muaddi

Samy Muaddi Portfolio Manager

October 2021 / INVESTMENT INSIGHTS

The Inside Story: Two Emerging TMT Ideas

The Inside Story: Two Emerging TMT Ideas

The Inside Story: Two Emerging TMT Ideas

Why we like an African mobile telecom tower operator and Brazil's leading TV programmer....

By Siby Thomas

Siby Thomas Portfolio Manager

November 2021 / INVESTMENT INSIGHTS

The Inside Story: Two EM Consumer Ideas

The Inside Story: Two EM Consumer Ideas

The Inside Story: Two EM Consumer Ideas

A look behind the scenes at key ideas in the Emerging Market Corporate Bond portfolio

By Siby Thomas

Siby Thomas Portfolio Manager

Featured Videos

March 2022 / VIDEO

How We’re Positioned Against Heightened Market Risks

How We’re Positioned Against Heightened Market Risks

How We’re Positioned Against Heightened Market...

Russia’s invasion of Ukraine has heightened market risk following an already volatile...

By Sebastien Page

Sebastien Page Head of Global Multi-Asset

Fund Focus
RELATED FUND
SICAV
Class I
ISIN LU0207127753
We follow a bottom-up selection process grounded in individual credit fundamentals, guided by selected top-down themes. Proprietary credit research is integrated with relative value analysis. We utilise our emerging markets sovereign and corporate bond analysts as well as collaborating with our emerging markets equity analysts. The manager is not constrained by the funds benchmark, which is used for performance comparison purposes only. View More...
RELATED FUND
SICAV
Class I
ISIN LU0310189781
Our approach is to leverage our in-house global fixed income teams views to form a baseline for emerging market debt. We then carry out fundamental research, including independent country risk assessments across more than 60 countries. We formulate short- and medium-term forecasts across the yield curve for nominal bonds, inflation-linked bonds, and currencies. The manager is not constrained by the funds benchmark, which is used for performance comparison purposes only. View More...
RELATED FUND
SICAV
Class I
ISIN LU0596126465
We take a highly active approach that is largely benchmark-agnostic. We apply intensive, local bottom-up analysis to identify pricing inefficiencies and avoid risks others might not be able to spot. We aim to identify credit rating upgrade candidates, offering an attractive spread relative to similarly rated peers. View More...