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    Strategy

    Emerging Markets Debt Total Return Strategy

    Fixed Income

    The GMO Emerging Markets Debt Total Return Strategy integrates all of GMO’s hard and local debt capabilities and seeks annualized returns of 3% (net of fees) above the Secured Overnight Financing Rate (SOFR) over a complete market...

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    Insights

    The Electricity Tipping Point & the Next Ener...

    By Lucas White

    July 23, 2026

    Surging electricity demand is reshaping the energy landscape, creating opportunities for investors across a wide variety of industries.

    Read More
    Insights

    Targeting Outcomes

    By Tina Vandersteel

    July 15, 2026

    Emerging market debt is broad and inefficient. We examine when a total return, cash‑plus approach may better align portfolios with desired outcomes.

    Read More
  • ESG Investing
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    ESG Investing

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    Horizons Strategy

    Equities

    The GMO Horizons Strategy is a global strategy reflecting the view that the world economy is transitioning to a lower carbon future, and that this process will create opportunities for investors to generate excess returns. The Str...

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    Strategy

    Climate Change Strategy

    Equities

    The GMO Climate Change Strategy seeks to deliver high total return by investing primarily in equities of companies GMO believes are positioned to benefit, directly or indirectly, from efforts to curb or mitigate the long-term effe...

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    George Sakoulis

    Head of Investment Teams, Head of Systematic Equity, Portfolio Manager

    Articles

    Dr. Sakoulis is the Head of Investment Teams at GMO, Head of GMO's Systematic Equity team, and a portfolio manager for GMO’s Systematic Equity products. Dr. Sakoulis is a partner of the firm. He previously worked at GMO from 2009 to 2014 leading quantitative research for GMO’s Emerging Markets Equity team. Prior to rejoining GMO in 2020, he was most recently a Managing Director and Head of Global Multi-Asset Solutions for QMA, where he focused on systematic total and absolute return investment solutions. Before that, he led QMA’s Global Portfolio Solutions group. Previously, Dr. Sakoulis also served as the Director of European Equity Strategies for Numeric Investors and as a Director for UBS O’Connor. He earned his bachelor's degree in Economics and Statistics from San Francisco State University and his MA in Economics and PhD in Financial Econometrics from the University of Washington.

    Tina Vandersteel

    Head of Emerging Country Debt, Portfolio Manager

    Articles

    Ms. Vandersteel is the Head of GMO’s Emerging Country Debt team and the lead portfolio manager for the team’s products. Ms. Vandersteel is a partner of the firm. In her role as portfolio manager, she focuses on security selection and portfolio construction. Prior to joining GMO in 2004, she worked at J.P. Morgan in fixed income research developing quantitative arbitrage strategies for emerging debt and high yield bonds. She began her career at Morgan Guaranty Trust, attending Morgan Finance Program #18, before establishing her career in emerging debt. Ms. Vandersteel earned her bachelor's degree in Economics from Washington & Lee University. She is a CFA charterholder.

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    How to Invest

  • Americas
  • Europe, Middle East, Africa
  • Asia
  • Australia, New Zealand
Contact Us Log In

  • Investment Capabilities
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    Investment Capabilities

    Strategies
    • Multi-Asset Class
    • Equities
    • Alternatives
    • Fixed Income
    ETFs
    Mutual Funds
    Private Funds
    Document Library
    GMO Solutions
    • Asset Allocation
    • Quality Equity
    • ETF Investing at GMO
    • Dynamic Multi-Asset Credit
    FEATURED PRODUCTS
    Mutual Fund

    Alternative Allocation Fund

    Alternatives

    <!-- [if gte mso 9]> Normal 0 false false false EN-US X-NONE X-NONE MicrosoftInternetExplorer4 <![endif]--><!-- [if gte mso 9]> <![endif]--><!-- [if gte mso 10]> /* Style Definitions */ table.MsoNormalTable {mso-style-name:"Table ...

    Read More
    Strategy

    Emerging Markets Debt Total Return Strategy

    Fixed Income

    The GMO Emerging Markets Debt Total Return Strategy integrates all of GMO’s hard and local debt capabilities and seeks annualized returns of 3% (net of fees) above the Secured Overnight Financing Rate (SOFR) over a complete market...

    Read More
  • GMO Research
  • Back to main menu

    GMO Research

    Research Library
    GMO Required Reading
    Subscribe
    POPULAR RESOURCES
    • GMO Quarterly Letter
    FEATURED RESEARCH
    Insights

    The Electricity Tipping Point & the Next Ener...

    By Lucas White

    July 23, 2026

    Surging electricity demand is reshaping the energy landscape, creating opportunities for investors across a wide variety of industries.

    Read More
    Insights

    Targeting Outcomes

    By Tina Vandersteel

    July 15, 2026

    Emerging market debt is broad and inefficient. We examine when a total return, cash‑plus approach may better align portfolios with desired outcomes.

    Read More
  • ESG Investing
  • Back to main menu

    ESG Investing

    Overview
    Stewardship
    Industry Leadership and Collaboration
    FEATURED PRODUCTS
    Strategy

    Horizons Strategy

    Equities

    The GMO Horizons Strategy is a global strategy reflecting the view that the world economy is transitioning to a lower carbon future, and that this process will create opportunities for investors to generate excess returns. The Str...

    Read More
    Strategy

    Climate Change Strategy

    Equities

    The GMO Climate Change Strategy seeks to deliver high total return by investing primarily in equities of companies GMO believes are positioned to benefit, directly or indirectly, from efforts to curb or mitigate the long-term effe...

    Read More
  • About GMO
  • Back to main menu

    About GMO

    Overview
    Our Approach
    Our Clients
    • Institutions
    • Family Offices
    • Consultants
    • Intermediaries & Wealth Managers
    People
    • Investment Teams
    • Firm Management
    • Relationship Team
    • Board of Directors
    Careers
    News and Media
    LEADERSHIP SPOTLIGHT

    George Sakoulis

    Head of Investment Teams, Head of Systematic Equity, Portfolio Manager

    Articles

    Dr. Sakoulis is the Head of Investment Teams at GMO, Head of GMO's Systematic Equity team, and a portfolio manager for GMO’s Systematic Equity products. Dr. Sakoulis is a partner of the firm. He previously worked at GMO from 2009 to 2014 leading quantitative research for GMO’s Emerging Markets Equity team. Prior to rejoining GMO in 2020, he was most recently a Managing Director and Head of Global Multi-Asset Solutions for QMA, where he focused on systematic total and absolute return investment solutions. Before that, he led QMA’s Global Portfolio Solutions group. Previously, Dr. Sakoulis also served as the Director of European Equity Strategies for Numeric Investors and as a Director for UBS O’Connor. He earned his bachelor's degree in Economics and Statistics from San Francisco State University and his MA in Economics and PhD in Financial Econometrics from the University of Washington.

    Tina Vandersteel

    Head of Emerging Country Debt, Portfolio Manager

    Articles

    Ms. Vandersteel is the Head of GMO’s Emerging Country Debt team and the lead portfolio manager for the team’s products. Ms. Vandersteel is a partner of the firm. In her role as portfolio manager, she focuses on security selection and portfolio construction. Prior to joining GMO in 2004, she worked at J.P. Morgan in fixed income research developing quantitative arbitrage strategies for emerging debt and high yield bonds. She began her career at Morgan Guaranty Trust, attending Morgan Finance Program #18, before establishing her career in emerging debt. Ms. Vandersteel earned her bachelor's degree in Economics from Washington & Lee University. She is a CFA charterholder.

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    How to Invest


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  • Privacy Notice
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  • Web Fraud & Phishing Warning
  • Important Health Care Coverage Tax Document

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