William Blair Investment Management portfolio managers Marcelo Assalin, Casey Preyss, Paul Birchenough, Vivian Lin Thurston, Clifford Lau, Todd McClone, and Ian Smith, and global strategist Olga Bitel, were quoted in Pensions & Benefits Monitor, sharing their collective outlook for emerging markets investing in 2025.

“We anticipate a favorable market environment for EM debt in 2025 and believe that higher volatility induced by political noise and bombastic rhetoric could create opportunities for long-term investors,” Assalin wrote in the team’s report that was cited by the publication.

Read the team’s full white paper