Valuation: Ashmore Group Plc

Market Cap 1.4B 1.87B 1.64B 1.52B 2.65B 179B 2.7B 18.12B 7.11B 87.98B 7.03B 6.88B 304B P/E 2026 *
14.5x
P/E 2027 * 22.5x
Enterprise Value 1.12B 1.5B 1.31B 1.22B 2.12B 143B 2.16B 14.5B 5.69B 70.39B 5.62B 5.5B 243B EV / Sales 2026 *
7.99x
EV / Sales 2027 * 7.33x
Free-Float
62.31%
Yield 2026 *
7.85%
Yield 2027 * 7.85%
1 day+4.45%
1 week+4.45%
Current month+20.37%
1 month+13.45%
3 months+8.33%
6 months+27.35%
Current year+35.65%
1 week 3.12
Extreme 3.12
3.12
1 month 2.59
Extreme 2.592
3.12
Current year 2.41
Extreme 2.41
3.49
1 year 1.98
Extreme 1.975
3.49
3 years 1.74
Extreme 1.745
3.49
5 years 1.74
Extreme 1.745
5.45
10 years 1.74
Extreme 1.745
7.58
Manager TitleAgeSince
Chief Executive Officer 65 1998-11-30
Director of Finance/CFO 51 2013-10-31
Investor Relations Contact - -
Director TitleAgeSince
Director/Board Member 51 2013-10-31
Chairman 69 2022-04-20
Director/Board Member 73 2018-06-28
Change 5-day change 1-year change 3-year change Capi.($)
+4.45%+4.45% - - 1.87B
+0.40%-1.12%-24.67%+18.79% 95.86B
-0.27%+0.98%-31.29%+58.32% 87.01B
+0.06%-1.13%-32.09%+19.14% 27.16B
+0.06%-0.06%+23.51%+58.15% 20.44B
-0.09%-4.67%+32.01%+12.39% 17.06B
-0.28%+0.23%-24.35%+28.35% 15.89B
-0.35%-3.50% - - 13.66B
+0.59%+0.43%-18.39%-3.52% 13.38B
-3.24%-4.44%+4.48%+123.53% 12.31B
Average -0.17%-1.23%-8.85%+39.39% 33.64B
Weighted average by Cap. -0.37%-0.69%-19.06%+37.08%

Financials

2026 *2027 *
Net sales 140M 187M 164M 152M 265M 17.94B 270M 1.81B 712M 8.81B 704M 688M 30.42B 159M 213M 187M 173M 301M 20.4B 307M 2.06B 809M 10.02B 800M 783M 34.6B
Net income 101M 136M 119M 110M 192M 12.98B 196M 1.31B 515M 6.38B 509M 498M 22.02B 65.21M 87.24M 76.51M 70.87M 123M 8.35B 126M 845M 331M 4.1B 328M 320M 14.16B
Net Debt -280M -374M -328M -304M -529M -35.83B -539M -3.62B -1.42B -17.59B -1.41B -1.37B -60.76B -232M -310M -272M -252M -438M -29.65B -447M -3B -1.18B -14.56B -1.16B -1.14B -50.29B
Logo Ashmore Group Plc
Ashmore Group plc is a United Kingdom-based company. The Company operates as a specialist emerging markets investment manager. It focuses on investment themes which include external debt, local currency, corporate debt, equities and alternatives. Its external debt consists primarily of dollar-denominated sovereign (government) and quasi-sovereign (government-sponsored) bonds. Its local currency includes sovereign (government), quasi-sovereign and occasionally regional government bonds issued in the domestic currency of the issuer. Its corporate debt includes dollar-denominated bonds issued by public and private sector corporations. Its blended debt offers a combination of United States Dollar (USD) denominated external debt and corporate debt along with local currency debt and foreign exchange. It also offers alternatives which include private equity, infrastructure, special situations, distressed debt and real estate.
Employees
279
Date Price Change Volume
26-07-13 US$3.120 +4.45% 1,000
Trader
Investor
Global
Quality
ESG MSCI
AA
Sell
Consensus
Buy
Mean consensus
HOLD
Number of Analysts
10
Last Close Price
2.152GBP
Average target price
2.100GBP
Spread / Average Target
-2.42%

Annual profits - Rate of surprise