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Ashmore Group
-8.04%
Financial services / Investment Management, Emerging Markets
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Company Overview
General information about the Ashmore Group company
The Ashmore Group is a global investment management company headquartered in London, United Kingdom. The company was founded in 1992 and is currently one of the world’s largest emerging markets investment managers.
The company specializes in managing funds focused on emerging markets such as Asia, Latin America, and Africa. Ashmore offers a range of investment strategies including equity, debt, multi-asset, and alternative investments.
Some key facts about the Ashmore Group include:
- The company has over 400 employees, with investment teams based in London, New York, Hong Kong, Singapore, and other global locations.
- Ashmore manages over $72 billion in assets for a diverse client base, including sovereign wealth funds, pension funds, and individual investors.
- The company is listed on the London Stock Exchange and is a constituent of the FTSE 250 index.
- Ashmore has a strong focus on responsible investing, with a comprehensive Environmental, Social, and Governance (ESG) framework in place.
- The company has won numerous awards for its investment strategies and performance, including being named Emerging Markets Fund Manager of the Year by Financial News in 2020.
- In addition to its investment management services, Ashmore also provides research and market insights to help clients navigate the complexities of emerging markets.
- The company has a strong commitment to corporate social responsibility, with initiatives focused on supporting education, healthcare, and economic development in the communities where it operates.
The company specializes in managing funds focused on emerging markets such as Asia, Latin America, and Africa. Ashmore offers a range of investment strategies including equity, debt, multi-asset, and alternative investments.
Some key facts about the Ashmore Group include:
- The company has over 400 employees, with investment teams based in London, New York, Hong Kong, Singapore, and other global locations.
- Ashmore manages over $72 billion in assets for a diverse client base, including sovereign wealth funds, pension funds, and individual investors.
- The company is listed on the London Stock Exchange and is a constituent of the FTSE 250 index.
- Ashmore has a strong focus on responsible investing, with a comprehensive Environmental, Social, and Governance (ESG) framework in place.
- The company has won numerous awards for its investment strategies and performance, including being named Emerging Markets Fund Manager of the Year by Financial News in 2020.
- In addition to its investment management services, Ashmore also provides research and market insights to help clients navigate the complexities of emerging markets.
- The company has a strong commitment to corporate social responsibility, with initiatives focused on supporting education, healthcare, and economic development in the communities where it operates.
What is special about the Ashmore Group company?
1. Highly experienced management team: The Ashmore Group has a highly experienced management team that has been managing emerging markets investments for decades. This expertise and knowledge is a key factor in the company’s success.
2. Dedicated to emerging markets: Unlike many other financial institutions, the Ashmore Group is solely focused on emerging markets. This specialization allows them to have a deep understanding of the market and tailor their strategies accordingly.
3. Proven track record: The company has a strong track record of delivering consistent returns to its investors. This has earned them a reputation as a reliable and trusted investment manager.
4. Global presence: The Ashmore Group has a global presence with offices in over 10 countries. This allows them to have a local presence and access to investment opportunities in different emerging markets.
5. Diverse range of products: The company offers a diverse range of investment products across equities, debt, alternative assets, and multi-asset strategies to cater to the specific needs of their clients.
6. Strong risk management: The Ashmore Group has a robust risk management framework in place to manage the risks associated with investing in emerging markets. This ensures the safety of investors’ capital.
7. Sustainable investing: The company has a strong focus on sustainable investing and considers environmental, social, and governance (ESG) factors in their investment decisions.
8. Client-centric approach: Ashmore Group puts its clients at the center of everything they do and strives to provide tailored solutions and exceptional service to meet their individual needs.
9. Award-winning: The company has won numerous awards for its investment performance and leadership, including Emerging Market Debt Manager of the Year and Best Emerging Markets Debt House by industry publications.
10. Philanthropic initiatives: The Ashmore Foundation, established by the company, supports various social and charitable causes in emerging markets, demonstrating their commitment to giving back to the communities in which they operate.
2. Dedicated to emerging markets: Unlike many other financial institutions, the Ashmore Group is solely focused on emerging markets. This specialization allows them to have a deep understanding of the market and tailor their strategies accordingly.
3. Proven track record: The company has a strong track record of delivering consistent returns to its investors. This has earned them a reputation as a reliable and trusted investment manager.
4. Global presence: The Ashmore Group has a global presence with offices in over 10 countries. This allows them to have a local presence and access to investment opportunities in different emerging markets.
5. Diverse range of products: The company offers a diverse range of investment products across equities, debt, alternative assets, and multi-asset strategies to cater to the specific needs of their clients.
6. Strong risk management: The Ashmore Group has a robust risk management framework in place to manage the risks associated with investing in emerging markets. This ensures the safety of investors’ capital.
7. Sustainable investing: The company has a strong focus on sustainable investing and considers environmental, social, and governance (ESG) factors in their investment decisions.
8. Client-centric approach: Ashmore Group puts its clients at the center of everything they do and strives to provide tailored solutions and exceptional service to meet their individual needs.
9. Award-winning: The company has won numerous awards for its investment performance and leadership, including Emerging Market Debt Manager of the Year and Best Emerging Markets Debt House by industry publications.
10. Philanthropic initiatives: The Ashmore Foundation, established by the company, supports various social and charitable causes in emerging markets, demonstrating their commitment to giving back to the communities in which they operate.
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