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.
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
Inception date | March 31, 2002 |
Style focus | Combined top down and fundamental |
Benchmark |
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Fixed Income Monthly
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Investment-grade fixed income
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Strategies investing in higher-yielding debt to meet income and capital appreciation goals.
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Institutional money market strategies to meet clients' liquidity needs.
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The Chartered Financial Analyst (CFA) designation is offered by the CFA Institute. To obtain the CFA charter, candidates must pass three exams demonstrating their competence, integrity, and extensive knowledge in accounting, ethical and professional standards, economics, portfolio management, and security analysis, and must also have at least 4,000 hours of qualifying work experience completed in a minimum of 36 months, among other requirements. CFA is a trademark owned by CFA Institute.