Emerging Markets (incl. local currency & high yield)

Components Performance/Risk
Period Return
14.5%
Return Rank
Below Average
Risk Exposure
Low Risk

Emerging markets fixed income ETFs are mostly invested in ‘Sovereign Debt’ issues, complemented by ‘quasi-sovereign’ debt

In an effort to differentiate their ETF selections, fund managers will in some cases include corporate debt for ‘Broad Exposure’ to emerging market economies, presumably by selecting well-recognized issuers

To enhance performance, some of the emerging market ETFs are invested

  • in more risky debt, rated below investment-grade – and identified as ‘High Yield
  • or in ‘Local Currency Debt’, with potential for currency appreciation

 

Over time, fund price momentum signals trends of the last 5 days against a 20-day average

For comparison, select various time frames in the top right menu box, from 2 weeks to a full year (performance of some very recently listed ETFs may not be significant for lack of price data)

Performance History
Components Performance/Risk
Weights by Sub Category
Sub Category Performance/Risk