FIAM STRATEGIES

FIAM Emerging Market Debt

The FIAM Emerging Market Debt discipline seeks to outperform the Bloomberg Emerging Market Index while managing volatility through intensive risk management and in-depth quantitative and fundamental research.

Investment philosophy and approach

We focus our attention on areas of the market where we believe our resources have the greatest competitive advantage, seeking strong risk-adjusted performance by adhering to the following principles:

Emphasis on country valuation and security selection

Independent, broad-based fundamental research

Disciplined risk management

Team structure that facilitates multidimensional investment perspectives

Key Facts

Portfolio managers

Team structure that facilitates multidimensional investment perspectives.

Eric Lindenbaum
Portfolio manager
Nader Nazmi, PhD
Portfolio manager
Tim Gill, CFA
Portfolio manager

Contact a Fidelity representative