Emerging market bonds

Danske Bank Asset Management’s actively managed Emerging Markets Debt Hard Currency strategy invests mainly in government bonds, though the strategy also includes corporate bonds that are primarily issued by government-owned companies (quasi-sovereigns).

The portfolio team consists of both portfolio managers and also economists with a particular focus on macroeconomic and quantitative analysis and country risk models. The portfolio team is supported by our internal quant and macro analysts.

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Nordic Bonds

Nordic Fixed Income is one of our major strengths at Danske Bank Asset Management, where we have a broad portfolio of strategies actively managed by portfolio teams with a local presence in each of the Nordic countries.

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European Bonds

Danske Bank Asset Management has three strategies covering European bonds, which are managed by portfolio teams from our large credit team.

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Global Bonds

Danske Bank Asset Management’s actively managed Global Inflation Linked Bond strategy offers protection against inflation.

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