For more information please contact us

NTIFASGL_Corporate_Secretarial [at] ntrs [dot] com (Email AGOL)

Investment manager

Ashmore is a specialist Emerging Markets investment manager with over twenty years' experience in these markets.

Based in London, the business was founded in 1992 as part of the Australia and New Zealand Banking Group.  In 1999, Ashmore became independent and today manages USD 73.9 billion (at 30 June 2018) in pooled funds, segregated accounts and white-label products.

Ashmore's outstanding portfolio management and research team employs a liquidity focused and value-driven strategy targeting total return. The company believes that active management focusing on asset lliquidity and political dynamics with superior information and analysis leads to above average returns with lower risk over the cycle. Ashmore focuses on a number of investment themes including external debt, local currency, corporate debt, blended debt, alternatives (incorporating distressed debt and private equity), equity, multi-asset and overlay/liquidity. 

Of greatest testament to the company's success is the confidence which central banks, government and corporate pension funds, institutions and high net worth individuals have demonstrated by investing with Ashmore. Over the years, Ashmore's principal goal has remained unchanged: to achieve superior investment results for clients. 

More information about Ashmore Investment Advisors Limited can be found on their website