Asset Manager

Updated:

The Global Emerging Markets Group

The Global Emerging Markets Group, headquartered in New York, focuses on emerging-market debt and alternative credit.

The Global Emerging Markets Group

The Global Emerging Markets Group, headquartered in New York, focuses on emerging-market debt and alternative credit. The firm's portfolio spans sovereign and corporate bonds, private credit, and opportunistic hedge fund investments, typically targeting non-investment-grade or distressed situations in countries like Brazil, India, Nigeria, and Turkey. Known sector exposures include energy and financial bonds, as well as direct lending to mid-market companies in those regions (public record). The firm's team of investment professionals employs a value-oriented approach, seeking mispriced risk in less-liquid markets. While specific AUM and deployment figures are undisclosed, the manager likely structures commingled funds and separately managed accounts for institutional clients. No recent fundraising or notable portfolio turnover has been publicly reported in the last 24 months. The Global Emerging Markets Group operates as a New York-based registered investment advisor. It files Form ADV with the SEC but does not disclose a fixed founding year or named principals in available public records. The firm's mandate is to generate absolute returns through active management of EM fixed income and credit, with a tactical allocation to event-driven and macro hedge funds. A key structural differentiator is the firm's specialization in a single, complex asset class — emerging-market credit — with a focus on the non-investment-grade segment where information asymmetries and liquidity premiums are highest. This narrow mandate contrasts with broader multi-asset EM managers.

General information

Firm type

Asset Manager

Year founded

AUM

Undisclosed

Location

Region

North America

Country

United States

City

New York

Corporate office

New York, NY, United States

Sector focus

Private CreditHedge FundsReal EstateInfrastructureEnergy Transition & Renewables

Frequently asked questions

What types of assets does The Global Emerging Markets Group invest in?

The firm focuses on emerging-market sovereign and corporate bonds, private credit, and hedge fund strategies. It targets non-investment-grade and distressed securities across regions including Latin America, Asia, and Africa.

Is The Global Emerging Markets Group structured as a hedge fund or a private credit firm?

The firm operates as an asset manager that allocates across both liquid and illiquid EM credit strategies. Its approach includes commingled funds and separately managed accounts, with a tactical mix of hedge fund and direct lending investments.

Which geographic regions does the firm focus on?

Primary regions include Latin America (e.g., Brazil), Asia (India), and Africa (Nigeria). The firm may also allocate opportunistically to other emerging markets based on yield and risk dynamics.

Does The Global Emerging Markets Group invest in public equities?

No public records indicate that the firm invests in public equities. Its known focus is on fixed income and credit instruments, including sovereign and corporate bonds, private credit, and hedge fund strategies.

Who are the principals or investment decision-makers at the firm?

The firm does not publicly disclose the names of its principals or investment committee members in available sources. SEC filings or the firm's own communications may list them, but as of this writing, no named individuals are publicly known.

Profile maintained by using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.

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