Emerging market strategies

Over the next several decades, the emerging markets are anticipated to become the main drivers of global growth—and consumer spending will likely lead the way.

The last century's rise of the U.S. middle class fueled a historic era of prosperity. That will pale in comparison to the middle class growth that has already begun in the emerging markets, and which could last well into this century.

Mirae Asset's Great Consumer investment strategy focuses on the direct and indirect economic effect resulting from the combination of growing purchasing power and increased consumption within the emerging markets.

Unique to this strategy, we search beyond traditional consumer sectors for any company positioned to benefit from growing emerging market consumption. 

There can be no guarantee that any strategy (risk management or otherwise) will be successful. All investing involves risk, including the potential loss of principal.

Seeking the best companies located or operating in the emerging markets, across geography, industry, products, and services.

The fast pace of emerging markets inspires entrepreneurship and spawns new companies every day. Whether they're the market leaders of today or the household names of tomorrow, we seek those companies best positioned to profit from broad and sustained emerging markets growth.

Mirae Asset looks for companies that are rising to the top of these quickly evolving economies and that have the potential to achieve and defend leading market positions. Our unique emerging markets origin and location, as well as our fundamental bottom-up approach, help us to uncover the winners of today—and tomorrow.

There can be no guarantee that any strategy (risk management or otherwise) will be successful. All investing involves risk, including the potential loss of principal.

A tactical global approach to fixed income that seeks the optimal mix of emerging market returns and developed market stability.

We believe that managing global fixed income for total return is best done dynamically, using a top-down macroeconomic approach.

Mirae Asset maintains fixed income professionals across the globe, making top-down appraisals of the markets and actively allocating to what we believe are the most attractive risk-return tradeoffs in the developed and emerging markets.

There can be no guarantee that any strategy (risk management or otherwise) will be successful. All investing involves risk, including the potential loss of principal.