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Forecast
| Buy |
Â
1 |
| Hold |
Â
3 |
| Sell |
Â
1 |
News Go to news feed
Ashmore: profit rises, operating business remains weak
Ashmore reports that profit attributable for the year to 30 June 2026 rose 27% to £103.3m, slightly beating consensus estimates. The profit was driven mainly by one-off gains from seed capital of £82.5m, while adjusted EBITDA fell 32% to £35.7m and performance fees collapsed to £1.4m. Adjusted net revenue and earnings per share fell, even though assets under management grew 13% to $54.0bn and net inflows increased to $2.7bn. Investors were concerned about the discrepancy between reported profit and the quality of recurring earnings, putting selling pressure on the stock. » More on de.investing.com
Ashmore records $1.3bn net inflows â shares slightly weaker despite strong numbers
Ashmore reported net inflows of $1.3bn in the quarter to 30 June and assets under management of $50.7bn (+$3.3bn). The shares fell about 1.5% to 212p as the positive news appeared to be priced in and a âsell the newsâ reaction dominated. Jefferies rates the stock buy with a 285p price target, but analyst consensus remains cautious with average targets below the current level. The next key date is the full-year results on 7 September 2026. » More on de.investing.com
Ashmore Group receives $1 billion capital commitment from Japan Post Versicherungen and 2.9% stake
Japan Post Versicherungen has committed to investing $1 billion, phased over about 12 months, into various emerging-market funds of the Ashmore Group. In addition, Japan Post Versicherungen will acquire a 2.9% stake in Ashmore through open-market purchases. No specific timetable for the stake acquisition was provided. » More on de.investing.com
Historical dividends Dividends
All dividend metrics All metricsFinancials
| (EUR) | June 2026 | |
|---|---|---|
| Revenue | 70.37m | - |
| Gross profit | 68.15m | - |
| Net profit | 39.56m | - |
| EBITDA | 56.48m | - |
Fundamentals
| Metric | Value |
|---|---|
Market capitalization | âŹ1.53bn |
Number of shares | 650.15m |
52-week high/low | âŹ3.02 - âŹ1.71 |
Dividend yield | 7.78% |
Dividends TTM | âŹ0.19 |
Beta | 0.96 |
P/E ratio | 13.09 |
PEG ratio | 0.39 |
P/B ratio | 1.74 |
P/S ratio | 9.86 |
Company profile
Die Ashmore Group plc ist ein staatlicher Vermögensverwalter. Das Unternehmen erbringt seine Dienstleistungen in erster Linie fĂŒr private und institutionelle Kunden. Sie verwaltet separate, kundenorientierte Aktien- und Rentenportfolios. Das Unternehmen legt auch Aktien- und Rentenfonds fĂŒr seine Kunden auf und verwaltet sie. Sie investiert in die öffentlichen Aktien- und RentenmĂ€rkte in den SchwellenlĂ€ndern weltweit. Das Unternehmen setzt bei seinen Investitionen eine Kombination aus Fundamentalanalyse ein. Ashmore Group Plc wurde 1992 gegrĂŒndet und hat seinen Sitz in London, Vereinigtes Königreich.
| Name | ASHMORE GROUP |
| CEO | Mark Langhorn Coombs |
| Headquarters | London,
gl United Kingdom |
| Website | |
| Sector | Financials |
| Industry | Financial Services |
| IPO | 12/10/2006 |
| Employees | 272 |
Deep Dive
Ticker symbols
| Exchange | Symbol |
|---|---|
London Stock Exchange | ASHM.L |
Pnk | AJMPF |
Frankfurt | A1B.F |
DĂŒsseldorf | A1B.DU |
London | ASHM.L |
SIX | A1B.SW |
MĂŒnchen | A1B.MU |