Junk boat crossing Hong Kong harbour

Dedicado a Mercados Emergentes

Ashmore es un gestor de inversiones especializado en Mercados Emergentes con más de veinte años de experiencia en estos mercados. Hoy continuamos innovando, ofreciendo nuevas estrategias que brindan una oportunidad para que los inversionistas participen.

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Acerca de Nosotros

Con sede en Londres, la empresa se fundó en 1992 como parte del Grupo Bancario de Australia y Nueva Zelanda.

ESG

Ashmore ha reconocido desde hace mucho la importancia de la sostenibilidad y el impacto de sus inversiones.

Contáctenos

Si tiene alguna pregunta o consulta, hay varias formas de comunicarse con nosotros. Descubra cómo ponerse en contacto con su oficina local.
Hot air balloons flying over Cappadocia, Turkey

Nuestros productos

En 2019 se creó Ashmore Investment Advisors S.A., Sociedad Fiduciairia (AIAC), subsidiaria de Ashmore Group establecida en Colombia para gestionar inversiones en la región. AIAC replica esfuerzos similares del Grupo países como Arabia Saudita, India e Indonesia, en los que ha logrado combinar el conocimiento local con los procesos de inversión y de análisis globales del Grupo. Con esta combinación se ha logrado contribuir con el desarrollo de la región, atendiendo las necesidades de inversionistas locales y globales, así como canalizando sus recursos hacia los diferentes emisores Latinoamericanos.  

Perspectivas Recientes

Weekly investor research

Regime change in Hungary and positive election results in Peru

Markets focused on politics, energy and AI: Hungary and Peru point to more market-friendly outcomes, US pressure on Iranian oil raises risk, AI-led growth remains strong from the US to Korea, while Colombia was downgraded and Turkey’s outlook softened.
Video

WEBINAR: How are EM Frontier debt markets holding up?

Watch the replay of this insightful webinar where Gustavo Medeiros, Global Head of Research, and Alexis de Mones, Portfolio Manager for Emerging Markets Debt, discussed their views on the resilience of EM Frontier debt markets in the current environment.
Weekly investor research

Risk asset recovery on thin ice

Risk assets have rebounded since last Tuesday, but risks remain high as Trump’s Iran deadline looms. Strong US payrolls suggest the cyclical upswing remains intact, while several EM policymakers kept a cautious stance on rates, fuel and energy.
Strait of Hormuz
The Emerging View

The Strait of Hormuz & the Vix shock

Emerging View examines the Strait of Hormuz tail-risk, rising energy prices and supply strains, comparing today’s backdrop with past oil shocks and assessing what the Iran-US conflict could mean for emerging market assets.
Satellite view of the Strait of Hormuz with white graphic lines representing global shipping lanes and maritime traffic between the Persian Gulf and Gulf of Oman.
Weekly investor research

Market relief as Trump signals progress in Iran negotiations

Trump gave Iran a short Hormuz ultimatum before a brief extension, as Iran hit Qatar’s Ras Laffan. Major central banks held rates with hawkish bias on energy risks, while EM policy diverged amid fuel, trade and election strains.