The fund aims to achieve high yield returns by investing in sovereign debt of issuers in Frontier Markets across Asia, Africa and Americas. We define Frontier Markets as relatively young and small sovereign issuers within the wider Emerging Markets universe. The strategy combines country selection and structured portfolio management, with main selection criteria based on improving governance, access to funding and economic growth. The fund is actively managed by a team with over 50 years of combined experience, who are top ranked and rated.