SCM / 2026
SOPHRON
Research. Conviction. Resilience.

STRATEGY FRAMEWORK / EM · Debt · Income

Selective Emerging Markets Debt

Hard-currency and local-currency opportunities in carefully screened emerging markets.
Global emerging-market opportunity set
Emerging-market risk analysis

Selective country and issuer exposure guided by balance-sheet resilience, policy credibility, and liquidity conditions. Risk is capped through hard limits on concentration and FX translation.

STAY RESILIENT

Sophron Capital Management / New York · London · Singapore