This content is from: Portfolio This Manager Sees Opportunities in Eastern Europe—Even in Russia and Ukraine Kopernik Global Investors believes that commodity-related stocks in the region can withstand inflationary pressures. By Hannah Zhang July 01, 2022
This content is from: Portfolio Emerging Markets Indexes Aren’t as Passive as You Might Think After the initial market shock of Russia’s invasion of Ukraine, investors are contemplating the long-term implications of the geopolitical turmoil. By Jessica Hamlin August 03, 2022
This content is from: Portfolio These Sovereign Bonds Are Even Riskier Than Russia’s The war in Ukraine made Russian securities untouchable — but other countries are still worse. By Jessica Hamlin June 09, 2022
This content is from: Portfolio PineBridge: Downgrades of Emerging Market Bonds Are Rarely Contagious The distressed bond markets in Russia and China’s property sector don’t imply a dark future for emerging market debt as a whole. By Hannah Zhang June 07, 2022
This content is from: Corner Office How a Quiet SEC Decision Created a Complex Research Payment Problem A majority of asset managers believe the commission’s decision will result in even fewer independent research firms. By Julie Segal August 17, 2022