for-phone-onlyfor-tablet-portrait-upfor-tablet-landscape-upfor-desktop-upfor-wide-desktop-up

Ashmore Group plc

ASHM.L

Latest Trade

487.20GBp

Change

0.20(+0.04%)

Volume

3,805,764

Today's Range

483.40

 - 

492.20

52 Week Range

337.80

 - 

545.50

As of on the London Stock Exchange (LON) ∙ Minimum 15 minute delay

Pricing

Previous Close
487.00
Open
485.20
Volume
3,805,764
3M AVG Volume
33.73
Today's High
492.20
Today's Low
483.40
52 Week High
545.50
52 Week Low
337.80
Shares Out (MIL)
672.39
Market Cap (MIL)
3,472.47
Forward P/E
16.79
Dividend (Yield %)
--

Next Event

Q1 2020 Ashmore Group PLC Asset Under Management Statement Release

Latest Developments

More

Ashmore CFO -U.S.-China trade differences "material" for fund

Ashmore Group H1 assets buoyed by $2.4 bln in net inflows

Ashmore Group FY pretax profit 191.3 mln stg

for-phone-onlyfor-tablet-portrait-upfor-tablet-landscape-upfor-desktop-upfor-wide-desktop-up

About Ashmore Group plc

Ashmore Group plc is a United Kingdom-based company, which operates as a specialist emerging markets asset manager. The Company offers a range of investment themes, such as external debt, local currency, corporate debt, blended debt, equities, alternatives, multi-strategy and overlay/liquidity. Its geographical segments include United Kingdom, United States and Others. The external debt theme invests in debt instruments issued by sovereigns (governments) and quasi-sovereigns (government-sponsored). The local currency theme invests in local currency-denominated instruments issued by sovereign, quasi-sovereign and corporate issuers. The corporate debt theme invests in debt instruments issued by public and private sector companies. The Company's products are available in a range of fund structures, covering the liquidity spectrum from daily-dealing pooled funds through to multi-year locked-up partnerships.

Industry

Investment Services

Contact Info

61 Aldwych

+44.20.30776190

http://www.ashmoregroup.com/

Executive Leadership

David Bennett

Non-Executive Chairman of the Board

Mark L. Coombs

Chief Executive Officer, Executive Director

Tom Shippey

Group Finance Director, Executive Director

Michael Perman

Company Secretary

Clive Adamson

Senior Non-Executive Independent Director

Key Stats

2.88 mean rating - 17 analysts
Sell
Hold
Buy
Revenue (MM, GBP)

2017

0.3K

2018

0.3K

2019

0.3K

2020(E)

0.4K
EPS (GBp)

2017

23.710

2018

21.300

2019

25.040

2020(E)

29.015
Price To Earnings (TTM)
19.46
Price To Sales (TTM)
10.90
Price To Book (MRQ)
3.89
Price To Cash Flow (TTM)
18.64
Total Debt To Equity (MRQ)
0.00
LT Debt To Equity (MRQ)
0.00
Return on Investment (TTM)
22.42
Return on Equity (TTM)
18.55

Latest News

BRIEF-Ashmore Q4 assets under management up 7.6% from Q3

* ASSETS UNDER MANAGEMENT INCREASED BY US$6.5 BILLION DURING PERIOD

BRIEF-Ashmore Group H1 assets buoyed by $2.4 bln in net inflows

* SAYS ASSETS UNDER MANAGEMENT (AUM) OF US$76.7 BILLION, 10% HIGHER THAN A YEAR AGO

Inflows buoy Ashmore despite emerging market trade tremors

Shares in emerging markets-focused fund manager Ashmore Group <ASHM.L> rose on Friday after the firm said it continued to take in money from clients in April-June despite tough market conditions as trade tensions escalated.

Ashmore Q4 assets hit as weak returns offset net inflows

Emerging markets-focused asset manager Ashmore Group said assets under management fell 3 percent in its fourth quarter as weak investment performance offset net inflows of fresh client cash.

BRIEF-Ashmore says total assets up 5 pct in fourth quarter

* Assets under management increased by $2.8 billion during quarter to end-June.

Ashmore posts net inflows for first time in nearly three years

Emerging markets-focused fund manager Ashmore Group <ASHM.L> saw quarterly net inflows for the first time in nearly three years in the three months to the end of March, helping to drive a 7 percent rise in its total assets.

Ashmore Group Q3 assets boosted by market gains, net inflows

Emerging markets-focused asset manager Ashmore Group said on Tuesday that assets under management rose 7 percent in its third quarter to the end of March, boosted by market gains and net inflows.

Fund manager Ashmore's H1 profit rises 32 percent, shares soar

UK-based fund manager Ashmore Group <ASHM.L> posted an above-forecast 32 percent rise in first-half core profits on Thursday, following strong investment returns in emerging markets and sending its shares to the top of the FTSE mid-cap index <0#.FTMC>.

BRIEF-Ashmore Group H1 core profit rises 32 pct to 89.7 mln stg

* Assets under management (aum) of us$52.2 billion (30 june 2016: us$52.6 billion), an increase of 5% over 2016

Emerging market fund manager Ashmore hit by impact of U.S. election

Fund manager Ashmore Group plc <ASHM.L> said assets under management fell 4 percent in its second quarter, as the impact of stronger dollar after the U.S. presidential election hit market returns and prompted more investors to pull their cash.

Ashmore sees Q2 assets hit by market moves, outflows

Ashmore Group plc says assets under management fell by $2.4 billion during its second quarter, hit by negative markets movements and demand from investors to withdraw their money.

BRIEF-Ashmore says 87 pct shareholders approve remuneration report

* Says 87.21 percent shareholder approve remuneration report for year ended June 30 2016 Source text for Eikon: Further company coverage: (Bengaluru Newsroom)

BRIEF-Ashmore assets under management rise by $2.0 bln in Sept quarter

* Assets under management increased by us$2.0 billion during period, driven solely by positive investment performance

Quote and financial data from Refinitiv. Fund performance data provided by Lipper. All quotes delayed a minimum of 15 minutes.

for-phone-onlyfor-tablet-portrait-upfor-tablet-landscape-upfor-desktop-upfor-wide-desktop-up