Main Day 1 | June 10th
- How can you leverage regional diversification to mitigate risks stemming from geopolitical events such as U.S.-China tensions or conflicts in the Middle East?
- How can you balance inflation and Central Bank policy shifts in EM portfolios for more favorable fixed income opportunities?
- How can you identify high-yield opportunities in tight commodity markets and create alpha opportunities in both sovereign and corporate bonds?
- How can you approach EM Corporate Bonds for lower-leverage opportunities, financial flexibility, and compelling risk-adjusted returns?
- How can we incorporate long-term structural growth into EM allocations?
Check out the incredible speaker line-up to see who will be joining Pablo.
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