IA Clarington Emerging Markets Bond Fund

Fund Code(s)
Distributions
MER
as at
Management Fee
Reduced MER (est.)
Risk
Low Medium High
Inception Date
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Investment Goal

The Fund’s objective is to provide income and the potential for capital appreciation over the long term by investing primarily in debt securities of emerging market issuers.
Key Reasons to Invest
  • An opportunistic approach that seeks to target the optimal allocation between three emerging markets sub-asset classes (sovereign hard currency bonds, sovereign local currency bonds and corporate bonds) for greater return potential
  • Dynamic scenario-driven asset allocation and security selection process that combines top-down analysis of the global macroeconomic environment with intensive bottom-up credit research for each of the underlying sub-asset classes
  • Managed by PineBridge Investments, the fund leverages the deep expertise of the emerging markets fixed-income team and an on-the-ground presence in Latin America, Africa, the Middle East and Asia

Portfolio Managers


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Key Documents
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    Regulatory Documents
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