Our investment approach
Ashmore’s equity strategies share a common philosophy and approach. Both are driven by and implemented by the globally integrated Equity team which is organised in a flat structure. Communication is formalised around weekly Global Macro, Equity and Strategy specific Investment Committees and dialogue is enhanced by ongoing interaction among Ashmore’s investment teams.
The Investment Committee collectively manages all portfolios and meets formally on a weekly basis to review markets, determine our investment strategy, and manage portfolios. In addition, interim meetings may be held depending on market conditions. The formal meetings and the collective decision making ensure information sharing and fosters discipline in executing investment strategies.
Our asset classes
Ashmore manages a selection of funds across a number of investment themes which include External Debt, Local Currency, Corporate Debt, Equities and Alternatives. Access to information about Ashmore's funds is permitted in accordance with the guidelines set out by our financial regulator in the UK, the Financial Conduct Authority ("FCA").
Ashmore’s approach to sustainability
As an Emerging Markets focused investment manager, Ashmore's success has always been dependent on understanding sustainability in the markets in which it operates and invests.
Learn about ESG
The Ashmore Group 2021 Sustainability Report aims to provide a comprehensive overview of Ashmore’s approach to sustainability across Ashmore’s business activities. The report is intended for all Ashmore stakeholders but will be of particular interest to clients.