We have capped some strategies to protect our ability to generate alpha. We will continue to do this for both equity and fixed income strategies where necessary.

We offer a range of Global Emerging Markets strategies and Asian investments covering equity and fixed income. Our products are built around the skills and experience of our fund managers. Indeed, many of investment professionals that set up Rexiter in 1997 are still with the company.

As specialists in emerging markets and Asia, we know that asset classes are changing rapidly. It is unrecognisable from the investment environment we faced ten years ago – more liquid, more efficient – and we expect a similar degree of change in the next ten years. Because of this, it is important that investors have a fund manager that is focused on the asset class and understands how rapid change affects emerging markets.

We analyse the economic backdrop and political landscape in each country as well as conducting a detailed analysis of individual companies. We’ve found our approach works and has helped us build a strong track record in emerging market and Asian investments.

Equities

Equities

Fixed Income

Fixed Income

We look at equities using fundamental analysis and a “growth at a reasonable price” philosophy. Our stock picking approach is combined with a top-down overlay that constrains our views and has added value over the past decade.

Investment insights are generated by an experienced team, the core of which has worked together for more than 12 years.

Our fixed income and cash strategies build on our economic and political analysis skills.

These important capabilities have been employed to great effect in our global emerging market equity strategies. Our fixed income team aims to add value through exploiting the rapid change we are seeing across emerging markets.