Investor relations
Corporate governance
Corporate responsibility
Ashmore Group plc and its subsidiaries (Ashmore) comprise one of the world's leading Emerging Markets investment managers with a history of consistently outperforming the market. Ashmore focuses on a number of investment themes including external debt, local currency, corporate debt, blended debt, alternatives (which includes special situations, real estate and infrastructure) and equities.
2024 Annual Report & Accounts
Ashmore’s purpose, as a specialist Emerging Markets investment manager, is to deliver long-term investment outperformance for clients and to generate value for shareholders through market cycles. In pursuing these objectives, Ashmore aims to ensure that its culture and working practices recognise its broader set of stakeholders.
Ashmore's specialist approach to investing allows it to take full advantage of the substantial long-term growth opportunities across the large and diverse Emerging Markets asset classes.
Find out more in the Ashmore Group plc 2024 Annual Report & Accounts.
- View the 2024 ESEF report (XHTML) - click here.
- Download the ESEF files - click here.