Western Asset
Description
Western Asset's Asia External Debt composite includes portfolios that employ an active, team-managed investment approach around a long-term, value-oriented investment philosophy. These portfolios use diversified strategies in seeking to add value while minimizing risk.
Objective
Exceed the benchmark by 150 basis points annually over a 3- to 5-year period while approximating benchmark risk.
Approach
Construct a diversified portfolio of sovereign and quasi-sovereign issuers in Asian emerging market countries with a controlled exposure to corporate issuers. Value can be added through country and credit selection.
Snapshot
Benchmark:
JP Morgan Asian Credit Index Sovereign and Quasi Sovereign, SGD Hedged1
Constraints:
Duration Exposure: ± 20% of the benchmark
Average Quality: BBB-
Assets Under Management:
Total Asia External Debt Composite Assets: US$30.0 million
Inception Date:
January 01, 1997
How to Invest
Please contact your Client Service Executive or call our main number.
1 Sovereign and Quasi Sovereign, SGD Hedged.