Stone Harbor Emerging Markets Debt Fund

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UCITS Fixed Income Emerging Markets Debt

Stone Harbor Emerging Markets Debt Fund

Product Overview

Investment Partner

Stone Harbor Investment Partners

Stone Harbor is a global credit specialist with expertise in emerging and developed markets debt, with three decades of informed experience allocating risk in complex areas of the fixed income markets. We manage credit portfolios for clients globally.


Learn more about Stone Harbor Investment Partners

This is a marketing communication. Please refer to the prospectus of the UCITS and to the KIID before making any final investment decisions.

Investment Overview

  • The Fund seeks to maximize total return, which consists of income on its investments and capital appreciation.
  • Stone Harbor believes that investing in a diversified portfolio of emerging markets debt instruments will result in strong long-term performance.
  • The investment team's approach is characterized by fundamental credit analysis. The investment process emphasizes country selection, based on intensive economic and political analysis, as well as a rigorous analytical approach to currency, sector, and security selection.
  • Risk is managed on a country, security, sector, and portfolio level.
  • Investors invest in shares of the Fund. The Fund is suitable for long-term investors seeking income and capital appreciation and prepared to accept a moderate to high level of volatility.
  • The Fund is actively managed. The Fund uses the JPM EMBI Global Diversified as a comparator benchmark but not to constrain portfolio composition or as a target for performance.

This fund is registered in the following countries: Denmark, Finland, France, Germany, Ireland, Luxembourg, the Netherlands, Spain, Sweden, and the UK

Risk Considerations

Emerging Markets Investing: Emerging markets securities may be more volatile, or more greatly affected by negative conditions, than those of their counterparts in more established foreign markets.
Credit & Interest: Debt instruments are subject to various risks, including credit and interest rate risk. The issuer of a debt security may fail to make interest and/or principal payments. Values of debt instruments may rise or fall in response to changes in interest rates, and this risk may be enhanced with longer-term maturities.
Investment Risk: Investing is subject to risk, including the risk of possible loss of principal.

Fund Codes

Share Class ISIN Currency Bloomberg
D1 Shares Accumulating (H) IE00B8322W49 JPY SHEMDJY
I Shares Accumulating (H) IE00B1YBRZ95 EUR SHEMDIE
I Shares Accumulating (U) IE00B1YBS121 USD SHEMDIU
I Shares Distributing (H) IE00B1YBS014 EUR SHEMDED
M Shares Accumulating (U) IE00B1YBS782 USD SHEMDMU
M Shares Distributing (U) IE00B1YBS899 USD SHEMDMD

Related Literature

Fund Resources

Stone Harbor Emerging Markets Debt Fund Performance Report

Regulatory Documents

Stone Harbor UCITS Shareholders Rights
Stone Harbor UCITS Prospectus
Stone Harbor UCITS German Country Supplement
Stone Harbor UCITS Luxembourg Country Supplement
Stone Harbor UCITS Swiss Country Supplement
Stone Harbor UCITS Semi-Annual Report
Stone Harbor UCITS Annual Report

Key Investor Information Documents (KIIDs)

Share Class Currency ISIN English Danish German Swedish Spanish French Dutch Finnish Swiss German Swiss English
I Shares Accumulating (U) USD IE00B1YBS121

The funds described above are each a sub-fund of Stone Harbor Investment Funds plc (the “Fund”), an investment company with variable capital incorporated with limited liability in Ireland and established as an umbrella fund with segregated liability between the funds pursuant to the European Communities (Undertakings for Collective Investment in Transferable Securities) Regulation, 2011 (as amended). Please refer to the current prospectus and to the relevant Key Investor Information Document (KIID) before making any final investment decision. The prospectus for the Fund, the KIID for each of the sub-funds of the Fund (in an official language of the relevant jurisdiction), and the summary of investor rights (in English) are available online at globalfunds.virtus.com or it may be received upon request via email by contacting  sub-funds are currently notified for marketing into a number of EU Member States under the UCITS Directive. A decision may be taken at any time to terminate the arrangements made for the marketing of the sub-fund in any Member State in which it is currently marketed. In such circumstances, Shareholders in the affected Member State will be notified of this decision and will be provided with the opportunity to redeem their shareholding in the Fund free of any charges or deductions for at least 30 working days from the date of such notification. The sub-funds have not been registered under the United States Investment Company Act of 1940, as amended, or the United States Securities Act of 1933, as amended. The Funds are not available for sale in the U.S. or to U.S. Persons. This information and material shown on this page are for information only and do not constitute an offering or investment, legal, tax or other advice. The information shown on this page constitutes an advertising document in certain jurisdictions.

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