July 28, 2023 | Emerging Markets Debt

Differentiated Beta-Bucketing Approach

Speaker

To improve our ability to deliver risk-adjusted returns over time, we developed an innovative approach to viewing and structuring portfolio risk. Marco Ruijer, a portfolio manager on our emerging markets debt team, explains.

Most EMD managers are organized on a regional basis but as the volatility between countries in certain regions can be so different, we believe bucketing by volatility is a more optimal approach for portfolio construction. Countries are at different levels of development within regions. There are, for instance, large differences of GDP per capita, rule of law, and quality of life. So it’s essential to look at issuers in the context of what we see as their true peer group across regions. We build these peer groups to be fairer to issuers in the way we assess them. And low-, medium, and high-beta risk bucketing allows us to do that really well.


Filmed July 2023

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