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Assessing ESG factors when investing in EM debt

21 Jan 2020

Head of Emerging Markets Fixed Income at BNP Paribas Asset Management considers the assessment of ESG factors when investing in emerging market debt.

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Head of Emerging Markets Fixed Income at BNP Paribas Asset Management considers the assessment of ESG factors when investing in emerging market debt.

Investors are increasingly considering environmental, social and governance factors alongside traditional financial risks. But many balk at using ESG criteria for emerging markets, worried this limits opportunities or potential returns, as Bryan Carter explains in this edition of The Intelligence Report.

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