Aaron Grehan | Risks, opportunities and the strategic portfolio opportunity in emerging market debt

In episode 121, Investment Magazine’s Matthew Smith speaks with Aaron Grehan, deputy head of emerging market debt and hard currency portfolio manager at Aviva Investors.

While many asset allocators might view emerging market debt as volatile and a tactical investment, there’s perhaps more strategic value in the asset class than many give it credit for, Aaron Grehan, deputy head of Emerging Market Debt and hard currency portfolio manager at Aviva Investors explains in an interview with Matthew Smith. Grehan argues that blending of investment grade and high yield could change the frame of reference for many institutional investors who consider EMD highly volatile to something more defensive .

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Super is at peak illiquidity: UniSuper CIO

John Pearce, the chief investment officer of the $170 billion UniSuper, told Investment Magazine 's new podcast, the CIO Series, that demographic shifts mean Australia’s super funds are at “peak exposure” to illiquid assets, while the resurgence of the retail platforms could create near-term liquidity constraints.

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