Emerging Markets Corporate Bond Composite
Source: Vontobel. The composite inception date is December 1, 2015. The composite‘s gross rates of return are presented before the deduction of investment management fees, other investment-related fees, and after the deduction of foreign withholding taxes, brokerage commissions and transaction costs. An investor’s actual return will be reduced by investment advisory fees. The composite‘s net rates of return are presented after the deduction of investment management fees, brokerage commissions, transaction costs, other investment-related fees and foreign withholding taxes. Results portrayed reflect the reinvestment of dividends and other earnings. The comparison to an index is provided for informational purposes only and should not be used as the basis for making an investment. There may be significant differences between the composite and the index, including but not limited to the risk profile, liquidity, volatility and asset composition. The J.P. Morgan Corporate Emerging Market (CEMBI) Broad Diversified index is the flagship index traking the performance of US dollar-denominated bonds issued by emerging market corporate entities. The CEMBI Broad Diversified aims to achieve a broader issuer coverage as well as a sectoral and regional balance by including bonds with an outstanding face amount of US$ 300 mm or more and capping the country weights to a maximum of 10%. The index is rebased monthly on the last trading day of the month. Past performance not an indication of future results. Returns more than one year are annualized. Please refer to the Disclaimer tab for additional explanations regarding composite disclosure and other Important Information.
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