To take advantage of global growth that may be in earlier stages of the economic cycle, investors are encouraged to include the rest of the world in asset allocations.
Our risk-managed approach helps clients focus on the long-term potential of emerging markets.
Eighteen months after the January 2016 low, emerging markets have bounced back—as they have after the previous six major drawdowns.
In five of the six years when emerging markets started out strong, the trend continued for the second half of the year.
Investors are increasingly focused on the inevitability of market volatility. Here’s a resource guide for understanding the opportunity in volatility.
The average returns of emerging market equities for the 12- and 18-month periods following a major emerging markets drawdown illustrate the potential for gains.
World stock market performance has been dominated by emerging market countries, as shown in this performance quilt chart.
Risk-managed, targeted opportunities over time—that’s what Calamos Evolving World Growth Fund and MVP quarterbacks have in common.
Calamos Co-CIO Nick Niziolek will explain how we seek to capture the growth potential of emerging market equities while managing volatility, and how to identify the most compelling opportunities.
Seasonal spikes in market volatility can shake investor confidence. The charts, analyses and commentary in this guide can help advisors and clients see the opportunity in volatility.
Emerging markets exposure should be a core portfolio allocation. How Calamos seeks to dampen the volatility and drawdowns that keep advisors and clients away.
Markets can be volatile, and that volatility can test an investor’s ability to buy and hold. This is true of investing in established U.S. markets and it’s also true of investors in emerging markets.
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