Select Your Location
View available investments and insights in your market
Americas
Europe and the Middle East
Asia Pacific

Emerging Markets Equity Fund

The content you are trying to access is not available for the global audience. It is available in United States.

Emerging Markets Equity Fund

Mutual Fund | Equities

Emerging Markets Equity Fund

YTD RETURN

0.00%

Overview
All-cap fund focused on emerging market companies we believe are positioned to benefit from secular, domestic growth

Why Invest

Focus on Local Growth

Pure play exposure to emerging markets, where GDP growth may be greater than developed markets

Flexibility Across Market Capitalizations

Historically, the fund has been consistently overweight small and mid-cap emerging market companies

Quality Bias

Focus on stocks that in aggregate have higher return on equity, lower net debt/EBITDA1 (excluding financials) and greater earnings growth potential than the MSCI EM Index

Performance and Exposure

Top 10 Holdings

As of 12/31/2023

Portfolio holdings are expressed as a percentage and are calculated by taking the market value of each holding and dividing it by the Fund's NAV. Portfolio holdings and other characteristics are current as of the date shown and are subject to change.

Fund Facts

For Institutional Class and Class R6, gross expense represents, and for Class A, Class C, and Class R3, total (net) expense represents the total annual operating expenses that shareholders pay (after the effect of fee waivers and/or expense reimbursement). The Fund’s investment manager has contractually undertaken to waive and/or reimburse certain fees and expenses of the Fund so that the total annual operating expenses (excluding interest, brokerage commissions, acquired fund fees and expenses, taxes including any expenses relating to tax reclaims dividend and interest expenses relating to short sales, and extraordinary expenses, if any; consequently, total (net) expenses may exceed the contractual cap) through 8/31/2026 for Class A at 1.52%, Class C at 2.27%, Institutional Class at 1.27%, Class R3 at 1.93%, Class R6 at 1.17% (each as a % of average net assets). Absent such arrangements, which cannot be changed without Board approval, the returns may have been lower. Information as of the most recent prospectuses, dated December 19, 2022, as amended and supplemented.

Beta is a measure of market-related risk (expressed between 0-1%) of a portfolio compared to that of the overall market, as represented by an index. The lower the beta the lower the sensitivity to the movements of the market, as represented by the index.

Standard Deviation is a statistical measure of portfolio risk. The Standard Deviation describes the average deviation of the portfolio returns from the mean portfolio return over a certain period of time. Standard Deviation measures how wide this range of returns typically is. The wider the typical range of returns, the higher the Standard Deviation of returns, and the higher the portfolio risk.

Active Share measures the percentage of mutual fund assets that are invested differently from the benchmark, and will range between 0% and 100%, Funds with an active share below 20% are likely to be pure index funds, while those with an active share between 20% and 60% are considered to be closet index funds.

Portfolio Management Team
Conrad Saldanha, CFA
Senior Portfolio Manager
New York
Conrad Saldanha, CFA, Senior Portfolio Manager
Conrad A. Saldanha, CFA, Managing Director, joined the firm in 2008. Conrad is a Senior Portfolio Manager on the Emerging Market Equity team. Prior to joining the firm, he held several positions at GE Asset Management, Inc., most recently, vice president and co-portfolio manager on the Global Emerging Markets product, as well as the portfolio manager for the Indian Equity strategy. Previous positions include vice president and portfolio manager for International and European equities, analyst for International, European and Emerging equities. Conrad began his career at GE Capital’s Financial Management Program. He earned a BCom from St. Xavier’s College, Calcutta, an MBA from Virginia Polytechnic Institute and has also been awarded the Chartered Financial Analyst designation.
Documents
Environmental, Social and Governance (ESG) Integration
Assess
LEARN MORE
Latest Thinking
Read More NB Blog
Featured Funds