I understand. Hide this message.

X

This site uses cookies. Learn More. »

Emerging Markets Evolution 02

Investing ideas» |

March 4, 2017

In this paper, we consider issues that can restrain returns, frustrate investors and elevate volatility. While the developing world offers a large, heterogeneous investing environment, a series of inefficiencies at the sovereign, corporate and index level can challenge returns. It is our view that governments, and companies, in the emerging world could improve their, and investors’, prospects through superior governance and transparency.


Keep Article

Filed Under



Social Sharing