Our analysis shows that much of the alpha generated by our global emerging market equity strategy comes from our top down analysis. Our fixed income proposition aims to leverage this expertise. We are different from other managers because we do not take a global perspective but rather look for relative value between individual markets. We believe this approach allows us to outperform in different market conditions.
This strategy utilises our established global emerging markets investment process in conjunction with a rigorous environmental stock rating methodology provided by Innovest Strategic Value Advisors. We believe that, with the combined experience of Rexiter and Innovest, emerging markets and active management can generate attractive risk-adjusted returns by adding value at both the country and stock level.
This strategy utilises our established global emerging markets investment process in conjunction with a rigorous environmental stock rating methodology provided by Innovest Strategic Value Advisors. We believe that, with the combined experience of Rexiter and Innovest, emerging markets and active management can generate attractive risk-adjusted returns by adding value at both the country and stock level.