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Among this week's highlights indicating emerging market focus on accessing long-term debt are a 30-year issue for the Emirate of Sharjah and plans by Brazilian petrochemical company Braskem (BAK) to raise hybrid debt, following recent perpetual sales by Emirates NBD, Banorte (GBOOF) and DP Wor...
Historically, a combination of high yield and minimal default risk has led emerging markets debt ((EMD)) investors to enjoy strong returns-but the impact of COVID-19 has called into question the potential for such favorable returns in the future. Historically speaking, however, markets have ov...
Yields dropped across most sovereign debt markets in June, amid continued central bank stimulus actions to address the economic fallout from COVID-19. Greece and Italy's 10-year government bonds saw by far the biggest moves during the month. Both countries are eligible for the European Central...
Author's note : This article was released to CEF/ETF Income Laboratory members on June 16, 2020. Please check latest data before investing. Chemist's Closed-End Fund Report Quantitative screens help to rapidly narrow down attractive candidates from the database of 500-plus closed-...
Fixed-Income Kryptonite "Faster than a speeding bullet. More powerful than a locomotive. Able to leap tall buildings in a single bound." And he can fly and shoot lasers from his eyes. Superman not only has the best superpowers, but he is also handsome, charming, and humble. Plus he dea...
As mentioned by AON in their Weather, Climate & Catastrophe Insight: 2019 Annual Report , last year brought $232 billion of economic losses from natural disasters, whereby only $71 billion was actually insured. It outlined that the world continues to face a fundamental issue of insuranc...
The coronavirus pandemic has brought about a new investment landscape in which some companies and sectors have fared better than others. Significant market dislocations have also created potential opportunities in the higher quality areas of the credit spectrum. Global credit markets have re...
By Shamaila Khan As the coronavirus crisis unfolded, prices tumbled and yields spiked to record highs across investment-grade emerging-market debt ((EMD)) - a sector widely considered to have healthy credit fundamentals and a low risk of defaults. Yield Gap Widens with US Corporates ...
By Justin Leverenz, CFA, Team Leader and Senior Portfolio Manager Understanding the economic stresses across EM is important. Still, it does not affect our core approach to investing, which is to unearth extraordinary companies, even in low-growth economies that we believe have the pot...
Author's note: This article was initially released on May 15, 2020 and data are from that date. Please check latest data before investing. Chemist's Closed-End Fund Report Quantitative screens help to rapidly narrow down attractive candidates from the database of 500-plus closed-end ...
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Morgan Stanley Emerging Markets Domestic Debt Fund Inc. Company Name:
EDD Stock Symbol:
NYSE Market:
Each of the Morgan Stanley closed-end funds listed below (the “Funds”) today declared the following dividends. *The amount of net investment income to be paid by the Funds is determined in accordance with federal income tax regulations. A portion of the Morgan Stanley Emerging M...
2023-07-28 05:00:45 ET AI is popular. Emerging market bonds, needless to say, are not . Which is perfect for us responsible contrarians striving to retire on dividends. The more neglected an asset, the better. But what’s the catalyst for these big yields? I’m t...
Morgan Stanley Investment Management announced today a portfolio management change for Morgan Stanley Emerging Markets Debt Fund, Inc. (NYSE: MSD) and Morgan Stanley Emerging Markets Domestic Debt Fund, Inc. (NYSE: EDD) (the “Funds”). The Funds are managed by the Emerging ...