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ashmail [at] ashmoregroup [dot] com (Email Ashmore)
Ashmore is one of the world's leading investment managers dedicated to Emerging Markets with a history of consistently outperforming the market. Ashmore focuses on a number of investment themes which include External Debt, Local Currency, Corporate Debt, Equities and Alternatives.
Our investment themes
This strategy invests in debt instruments issued by sovereigns (government) and quasi-sovereigns (government sponsored) across a universe of 60-80 Emerging Markets.
To many investors, Emerging Markets Local Currency government debt is the new benchmark asset class in Emerging Markets Fixed Income.
Corporate Debt invests in debt instruments issued by public and private sector corporate issuers across a universe of 60-80 Emerging Markets countries.
Blended Debt combines external sovereign debt and corporate debt with local currency debt and FX and should be viewed as a strategy rather than an asset class.
This strategy invests in equity and equity-related instruments within the Emerging Markets including global, regional, small cap and frontier opportunities.
Ashmore’s Alternatives investment theme seeks to provide investors with attractive returns across three principal investment strategies; private equity, distressed debt and real estate.
This theme seeks to provide investors with the ability to either actively or passively manage currency exposure across a fund or wider investment portfolio.
Multi Strategy offers investors a specialised, straight-forward, all-in-one access to a long term strategic asset allocation across the full Emerging Markets investment universe.