Investors had long considered emerging markets a single asset class, but no longer. Developing economies exhibit varying degrees of maturity, and the financing needs of governments and local companies increasingly find expression in a wider range of public market issuance. But currency volatility and liquidity problems stymie many asset managers. getAbstract recommends this recap of an Economist Intelligence Unit webinar for its succinct analysis on investment trends in emerging economies.
In this summary, you will learn
- What risks portfolio managers must deal with in emerging markets,
- How upcoming changes will affect developing economies and
- What opportunities those changes could portend for asset managers.
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The Economist Intelligence Unit is an independent research and analysis organization.