Sector exposure

Quasi Government Debt +0.00pp 7D

94 funds with Quasi Government Debt exposure · showing top 3 · average allocation in displayed funds 8.2%

Funds
3
Avg weight
8.2%
Sector Signals · Quasi Government Debt Rule-based · derived from FMP & FE data
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Top Quasi Government Debt-exposed funds

Sorted by sector weight · 3 funds total
Fund
Manager
Sector weight
1Y return
EM
Emerging Markets Bond Fund
LU0200680436
BlackRock
11.4%
+16.2%
BE
BlackRock Emerging Markets Flexi Dynamic Bond Fund
LU0940382277
BlackRock
7.6%
+11.6%
EE
ESG Emerging Markets Bond Fund
LU1817794974
BlackRock
5.7%
+12.7%
Top Quasi Government Debt Holdings Across Funds
BRAZIL FEDERATIVE REPUBLIC OF (GOV 0 10/01/2026
Unknown
4.03%
in 1 funds
SOUTH AFRICA(REPUBLIC OF) 8.5% MUN BD 31/01/37 ZAR1 1
Unknown
2.51%
in 1 funds
POLAND (REPUBLIC OF) 5 10/25/2035
Unknown
2.13%
in 1 funds
POLAND (REPUBLIC OF) 5 01/25/2030
Unknown
2.04%
in 1 funds
UKRAINE (REPUBLIC OF) A BONDS REGS 4.5 02/01/2034
Unknown
1.85%
in 2 funds
ARGENTINA REPUBLIC OF GOVERNMENT 4.125 07/09/2035
Unknown
1.82%
in 2 funds
UNITED MEXICAN STATES 7.75% NTS 13/11/42 MXN100000
Unknown
1.73%
in 1 funds
MALAYSIA (GOVERNMENT) 3.828 07/05/2034
Unknown
1.71%
in 1 funds
Conviction Score vs MSCI Benchmark
Fund weight vs MSCI World benchmark (0%)
Emerging Markets Bon..
+11.4%
BlackRock Emerging M..
+7.6%
ESG Emerging Markets..
+5.7%
Performance Chart
Top 3-fund composite (rebased to 100, equal-weighted) Real fund NAV data 2025-06-09 → 2026-05-29
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