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The primary reason to consider Emerging Market Debt in a fixed income portfolio is A. low geopolitical risk B. low correlation with domestic debt portfolios

The primary reason to consider Emerging Market Debt in a fixed income portfolio is

A. low geopolitical risk

B. low correlation with domestic debt portfolios and a corresponding diversification benefit

C. significant negative skewness

D. a declining number of investment grade issuers which promise higher yields

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