Manager Details

Europe

United Kingdom
125 Old Broad Street
London
EC2N 1AR
Tel
44 20 7256 9794
Head Office
125 Old Broad Street
London
EC2N 1AR
United Kingdom
Contact
David Morley Tel. + 44 20 3207 1978
Company website:
http://global.eatonvance.com/
Parent Company:
Eaton Vance Corp.
Year Founded:
1924
No. of investment offices worldwide:
5

Browse this manager's…

What’s new

  • Monthly Market Monitor - October 2019

    Monthly Market Monitor - October 2019

    White papersFri, 18 Oct 2019

    Eaton Vance Monthly Market Monitor presents a concise review of economic and asset class data through clear and impactful charts. Providing timely information across a broad array of markets and investment topics, this guide serves as a helpful resource in providing connectivity between changing market events and implications for investor portfolios.

  • Avoiding correlation creep in emerging markets debt

    Avoiding correlation creep in emerging markets debt

    White papersTue, 1 Oct 2019

    The rise of emerging markets debt (EMD) into a mainstream asset class has, in our view, been broadly beneficial for investors. Not only does the asset class offer a unique source of income and exposure to some of the fastest-growing parts of the world, the addition of EMD to portfolios comprising developed-markets fixed income can offer useful diversification benefits.

  • Monthly Market Monitor - September 2019

    Monthly Market Monitor - September 2019

    White papersTue, 24 Sep 2019

    Eaton Vance Monthly Market Monitor presents a concise review of economic and asset class data through clear and impactful charts. Providing timely information across a broad array of markets and investment topics, this guide serves as a helpful resource in providing connectivity between changing market events and implications for investor portfolios.

  • Avoiding “diversification decay” in emerging-markets debt

    Avoiding “diversification decay” in emerging-markets debt

    White papersTue, 24 Sep 2019

    In the past decade, there has been a 350% increase in institutional holdings of emerging-markets (EM) debt, much of which has been invested in index-based strategies. 

  • Emerging market debt: Navigating the allocation dilemma

    Emerging market debt: Navigating the allocation dilemma

    White papersTue, 24 Sep 2019

    Emerging-market (EM) economies and their capital markets continue to have strategic significance for institutional investors.

Search all our content