Cynthia Holahan
Head of Marketing, North America
Ninety One
65 E 55 Street, FL 30
New York, NY 10022
Cynthia.Holahan@ninetyone.com
917-206-5171
About Ninety One
Ninety One is an active, global investment manager managing over $159 billion in assets (As of 3.31.2024). Our goal is to provide long-term investment returns for our clients while making a positive difference to people and the planet. Established in South Africa in 1991, as Investec Asset Management, the firm began as a small start-up offering domestic investments in an emerging market.
In 2020, as a global firm proud of our emerging market roots, we demerged to become Ninety One. We are committed to developing specialist investment teams organically. Our heritage and approach let us bring a different perspective to active and sustainable investing across equities, fixed income, multi-asset and alternatives to our clients – institutions, advisors and individual investors around the world.
The year of the ballot
Providing opportunity for growth and diversification to fixed income portfolios
Global fixed income allocations already include EM debt – why allocate separately?
The role of EM debt in multi-sector credit strategies
Weighing passive and active approaches to EM debt investing
Episode 192: Filling the Gap: The Case for Non-Sponsored Direct Lending
Welcome to another edition of the InsuranceAUM.com podcast. Today's topic is called Filling the Gap, the case for non-sponsored direct lending.
The missing piece in private credit allocations
Chris Rust and Lei Lei explain the benefits a sponsorless lending strategy can bring to private credit allocations and examine common misconceptions around the associated risks.
EM debt: the evolution of an asset class
The growing size and importance of EM as an asset class and the diversification benefits it can provide investors means that an allocation merits serious consideration.
The Em-ification of DM with Peter Kent
Welcome to another edition of the InsuranceAUM.com podcast. Today's topic is the EMification of DM and we're joined by Pete Kent who's a Portfolio Manager and Co-head of Emerging Market Fixed Income at Ninety One.
Emerging Market Debt Indicator
Thys Louw explores the implications for debt investors as Nigeria’s new administration takes aim at two of the economy’s key challenges. The wider EM Debt team also provides an update across the rest of the universe.
Climate and Energy Transition in Emerging Markets with Matt Christ, PM at Ninety One
Welcome to another edition of the InsuranceAUM.com Podcast. Today we're talking about climate and energy transition in emerging markets with Matt Christ, Managing Principle and Head of the Transition Debt Strategy for Ninety One.
Getting the most out of emerging market debt
Emerging market (EM) debt is a diverse investment universe underpinned by a wide range of growing economies and companies. But it is under-owned in many portfolios.
In the Crossfire: Revisiting the Investment Case for Emerging Markets
Emerging markets have faced significant challenges, but there are lessons from the past decade to guide investors through the complexities of the asset class. Join us for a live webinar where Ninety One’s EM experts will share recent research into the forces that impacted performance, reassess the long-term investment case and discuss what investors might expect in the years ahead.
Emerging Market Investment Grade Corporate Debt
As emerging markets have grown substantially over the past two decades, emerging market-based corporations have turned to international capital markets to help fund and grow their businesses. As a result, JP Morgan launched a suite of emerging market corporate debt indices in 2008.
Emerging Market Corporate Debt with Vic Harling, Head of Emerging Market Corporate Debt at Ninety One
Welcome to another edition of the InsuranceAUM.com Podcast; today's topic is Emerging Market Corporate Debt with Vic Harling.