Over the years, Muzinich has broadened our credit based investment offerings across both developed and emerging markets. Our emerging markets strategies draw on the expertise of the Muzinich global fixed income platform and experience managing U.S., international, and global credit strategies.
Our dedicated emerging markets team works closely with the developed markets credit teams both in the context of flexible, dynamic strategies and other global mandates.
Emerging Markets Short Duration
The Muzinich Emerging Markets Short Duration strategy seeks to generate attractive, low volatility returns through a credit sensitive approach to short duration Emerging Market corporate bonds. The strategy will primarily invest in debt instruments rated BBB/BB/B, denominated in US dollars or other hard currencies, of corporate borrowers doing business mainly in Emerging Markets in Asia, Africa, Latin America and certain parts of Europe. Average duration of the portfolio is maximum 2.5 years.
Launch of strategy: July 2013