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Ashmore Investment Management Limited is one of the world's leading investment managers dedicated to emerging markets with a history of consistently outperforming the market.  Ashmore focuses on a number of investment themes including dollar debt, local currency, special situations (incorporating distressed debt and private equity) corporate high yield and equity.

Website:
http://www.ashmoregroup.com/
Phone:
Address:
20 Bedfordbury, London WC2N 4BL.
Super Sector:
Equity Instruments
Sector:
General Financial
Industry:
Asset Managers
EPIC / Symbols:
LON:ASHM
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*subject to change and depends on individual circumstances.

Ashmore group RNS Press Releases

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Ashmore group Articles, News, and Media Files

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Broker press

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  • 09/12/14

    09.12.14 :-10.1, (289.2) Cantor Fitzgerald initiates coverage with a "buy" rating and 375p target price.

  • 22/10/14
    +1.80 +311.80

    Liberum upgrades its rating to "hold" from "sell". The broker has a 285p price target.

  • 15/10/14

    15.10.14 :-1.85, (293.45) Citigroup reiterates its "neutral" rating but cut its price target to 307p from 350p.

  • 15/10/14

    15.10.14 :-1.85, (293.45) JP Morgan reiterates its "neutral" rating but cut its price target to 295p from 342p.

  • 14/10/14

    14.10.14 :-5.65, (295.75) Canaccord Genuity upgrades its rating to "hold" from "sell". The broker has a 300p price target.

Director dealings

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Date Director Trans Amount Type Price(p) Value (£) Holding %
15/10/14 T.A. Shippey EX 146,296 OPT 0.00 0 0,000 N/A
15/10/14 T.A. Shippey SELL 58,384 ORD 291.00 169,897 1,130,886 0.16
30/09/14 T.A. Shippey EX 145,633 OPT 0.00 0 1,189,270 0.17
12/09/14 C.C. Outhwaite BUY 6,000 ORD 327.28 19,637 46,000 0.01
27/05/14 T.A. Shippey SELL 87,500 ORD 352.73 308,639 1,043,637 0.15

BASIC RESULTS INFORMATION

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Date Type Turnover Profit EPS (p) Dividend (p) Currency
30/06/14 Full year 262.90 170.30 19.29 16.45 GBX
31/12/13 Interim 134.60 79.50 9.23 4.45 GBX
30/06/13 Full year 355.50 257.60 29.98 16.10 USD
31/12/12 Interim 167.80 120.20 13.94 4.35 GBX
30/06/12 Full year 333.30 243.20 26.82 15.00 GBX

DIVIDEND HISTORY

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Currency Ex-Date Pay Date Net Dividend Currency Total for year
H2 Dividend 05/11/14 05/12/14 12.0000 GBX 16.4500
H1 Dividend 05/03/14 11/04/14 4.4500 GBX
H2 Dividend 06/11/13 06/12/13 11.7500 GBX 16.1000
H1 Dividend 13/03/13 12/04/13 4.3500 GBX
H2 Dividend 07/11/12 07/12/12 10.7500 GBX 15.0000