Over USD 300 million in assets under management

Emerging Markets Debt Investment Management.

Emerging Markets Debt Investment Management.

Actively managed global fixed income strategies focused on emerging market sovereign and corporate bonds.

0
years of history
0
years of experience
Strategy specialized in international credit
Presence in emerging markets

About Galloway

Since 2009, Galloway has built a strong track record by delivering value through open-ended funds and tailored financial solutions.

Over more than a decade, the firm has strengthened long-term client relationships through integrity, consistency and dedicated service.

 

Galloway includes open-ended funds designed to capture opportunities in emerging market debt, alongside exclusive mandates tailored to specific client needs and investment objectives.

 

Its strategies span global emerging markets and Latin America, with a focus on sovereign and corporate fixed income. Through a disciplined and research-driven investment process, Galloway seeks to identify differentiated opportunities across diverse market environments.

 

This combination of experience, flexibility and specialization supports the firm’s ability to serve a broad range of client profiles.

Resources & Documents

Access the latest fund information, regulatory documents, and investment materials through a centralized resource hub.

Fact Sheets

Monthly Comentaries

Legal Documents

Financial Documents

Investment
Strategies for
Global Investors

Emerging Markets Bond Fund

A globally diversified portfolio investing in sovereign and corporate bonds across Emerging Markets through an actively managed, absolute return strategy.

  • Global Emerging Markets sovereign and corporate bonds
  • Active, benchmark-independent management
  • Absolute return investment approach

Customized Institutional Mandates

Tailored fixed income solutions designed to meet the specific objectives of institutional investors and family offices.

  • Tailor-made investment solutions
  • Flexible portfolio construction
  • Dedicated institutional support

Why Galloway?

Expertise

Manager specialized in Emerging Markets Bonds with 17 years track record. Extensive network of local contacts.

Structure

UCITS fund with daily liquidity. Multiple share classes – CHF- and EUR-hedged USD-distributing and a retail. Option for tailor-made EM credit mandates.

Differentiation

Access to strong, large EM companies often undervalued due to sovereign rating ceilings.

EM Roots

Galloway is based in Emerging Markets. Providing a genuine EM perspective and on-the-ground experience.

Flexibility

Ability to invest across both sovereign and corporate bonds in global emerging markets not following benchmark.

EM Specialist

Total portfolio transparency and direct access to managers for insights.

Our Investment Process

Capturing opportunities and avoiding pitfalls

01.

Macro Factors

02.

Screening

03.

Proprietary Scorecard

04.

Financial Analysis

05.

Local Validation

06.

Relative Value

Nathan Shor

Co-Founder

Bachelor of Science in Business Administration (BSBA), Boston University
Master’s Degree in Finance, IESA, Caracas, Venezuela

Ulisses de Oliveira

Co-Founder

Bachelor of Science in Finance and International Business, New York University

Partner with an Emerging Markets Specialist

Discover how Galloway’s international investment strategies can support your long-term objectives.