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Aberdeen Emerging Markets Bond Fund

 
 

Risk Warning

The value of investments and the income from them can go down as well as up and your clients may get back less than the amount invested.

 
 

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For more information on the Aberdeen Emerging Markets Bond Fund.

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Aberdeen’s emerging market debt strategies offer investors access to an experienced team and excellent investment opportunities in local or hard currency emerging market debt. They hold over 100 meetings each year with senior policy makers in over 40 emerging market countries.

Reasons to invest

  • Long history of investing in both the emerging market debt and equity markets
  • We do not have separate research analysts; fund managers are directly accountable for their own decisions
  • We use the entire emerging markets debt universe, identifying the best opportunities available to create diversified portfolios
  • We research over 50 countries and have over 500 meetings with senior policy makers each year
  • Well resourced, stable and highly experienced team with a robust track record across a number of market cycles

Performance as at 30 April 2013*

  6 months 1 year Since inception
Aberdeen Emerging Markets Bond Fund 4.50 13.15 11.02
IMA Global Bond Sector 5.16 9.83 6.39
Outperformance -0.66 3.32 4.63
Quartile ranking 2 2 1
Performance graph

* Source: Lipper, Russell Mellon, Basis: Total Return, NAV to NAV, UK Net Income Reinvested, Share Class A Acc

Key facts

Fund Structure: OEIC
Inception: 9 March 2011
Base Currency: GBP
Sector: IMA Global Bond
Benchmark: JPM EMBI Global Diversified (Hedged GBP 100%)
Yield: 4.62% as at 30 April 2013
 
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