logo

Stone Harbor Emerging Markets Total Income Fund | EDI

EDI Header Image

EDI's Objective?

The Fund's investment objective is to maximize total return, which consists of income and capital appreciation from investments in emerging markets securities. There is no assurance that the Fund will achieve its investment objective. The Fund normally will invest at least 80% of its net assets (plus borrowings for investment purposes) in Emerging Markets Debt. "Emerging Markets Debt" includes fixed income securities and other instruments (including derivatives) that are economically tied to emerging market countries, that are denominated in the predominant currency of the local market of an emerging market country or whose performance is linked or otherwise related to those countries' markets, currencies, economies or ability to repay loans. The Fund normally expects to invest up to 20% of its total assets in Emerging Markets Equity. "Emerging Markets Equity" includes securities issued by either single country or regional exchange-traded funds ("ETFs"), common stocks, preferred stocks, other equity securities and other instruments (including derivatives) that are economically tied to the equity markets of emerging market countries, that are denominated in the predominant currency of the local market of an emerging market country or whose performance is linked or otherwise related to those countries' markets, currencies, or economies. The Investment Manager does not have an established performance record investing in equity securities.

Structure

  • Managed portfolio of emerging markets debt combined with an ability to invest in emerging markets equity, structured to maximize total return

Benefits

  • Attractive income and total return potential versus traditional single sector emerging markets debt and equity portfolios
  • Ability to allocate tactically to emerging markets equity to take advantage of opportunities
  • Potential for low correlation with traditional fixed income portfolios
  • Potentially competitive risk/return portfolio profile versus many other types of fixed income portfolios
Fund Details
Ticker Symbol EDI
Dividends Paid Monthly
Daily Prices
as of 12/14/2017
Net Asset Value (NAV) $15.09
Closing Price $14.70
Premium / Discount (%) -2.58%
Distribution Rate
as of 12/14/2017
Distribution Rate on Market Price 12.33%
Investor Documents
Holdings

1-877-206-0791