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  •  Emerging Markets Debt Daily

    VanEck Blog | Emerging Markets Debt Daily

    by Natalia Gurushina, Chief Economist, Emerging Markets Fixed Income Strategy

    China is getting old before getting rich―together with a bunch of other emerging markets.

    Emerging Markets Debt Daily

    December 17, 2020

    EM Rates – Easing Ends

    by Natalia Gurushina, Chief Economist, Emerging Markets Fixed Income Strategy

    The average EM policy rate is grinding higher, and the list of countries where the market sees 2021 rate hikes is getting longer.

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    Emerging Markets Debt Daily

    December 16, 2020

    EM Inflation – Changing Landscape

    by Natalia Gurushina, Chief Economist, Emerging Markets Fixed Income Strategy

    Poland’s core inflation edged higher, pointing to potential risks that might affect other EMs. Mexico postponed the discussion of the controversial central bank bill until February.

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    Emerging Markets Debt Daily

    December 15, 2020

    China Demand-Side Recovery Continues

    by Natalia Gurushina, Chief Economist, Emerging Markets Fixed Income Strategy

    China’s demand-side recovery continued uninterrupted in November. The new U.S. sanctions against Turkey were quite “light”, removing a major geopolitical uncertainty.

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    Emerging Markets Debt Daily

    December 14, 2020

    Implications of China’s Going Green

    by Natalia Gurushina, Chief Economist, Emerging Markets Fixed Income Strategy

    Turkey’s current account showed a visible improvement in October. Mexico’s industrial production ended the year on a high(er) note.

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