Ashmore Group Stock

Ashmore Group Liabilities 2025

Ashmore Group Liabilities

97.1 M GBP

Ticker

ASHM.L

ISIN

GB00B132NW22

WKN

A0LB2S

In 2025, Ashmore Group's total liabilities amounted to 97.1 M GBP, a -11.65% difference from the 109.9 M GBP total liabilities in the previous year.

Ashmore Group Aktienanalyse

What does Ashmore Group do?

The Ashmore Group PLC is a British asset manager that was founded in 1999 and is one of the largest independent investment companies in Europe, with a market value of over 2.5 billion pounds. The company is headquartered in London and has offices in the US, Japan, China, Brazil, and other countries. The history of Ashmore Group PLC dates back to 1999 when former UBS manager Mark Coombs and his team decided to establish an independent investment company specializing in emerging markets. From the beginning, the company focused on investments in emerging markets, which were volatile at the time but had tremendous long-term growth potential. With this focus on emerging markets, Ashmore capitalized on a trend that has intensified in recent years: emerging markets have provided investors with significant opportunities as they often generate higher returns over the long term than developed economies. In the following years, Ashmore Group PLC became a leading player in investments in emerging markets. The company built a broad range of investment products, ranging from stocks and bonds to private equity, real estate, commodities, and currencies. Ashmore serves around 500 institutional clients, including banks, insurance companies, foundations, and governments. In addition, there are tens of thousands of individual investors who invest in Ashmore's products through funds and ETFs. The business model of Ashmore Group PLC is based on offering customers a wide range of asset classes in emerging markets. The company's expertise lies in identifying attractive investment opportunities in these markets through comprehensive research and analysis. Ashmore pursues an active investment approach: rather than simply tracking an index, the company actively seeks securities that deliver above-average returns. To achieve this, Ashmore collaborates closely with companies and governments in emerging markets, enabling the company to identify developments and trends in these countries at an early stage. Ashmore Group PLC operates in various sectors, including equity, fixed income, and multi-asset strategies. In the equity sector, Ashmore focuses on stock investments in emerging markets, including both growth stocks and value stocks. In the fixed income sector, Ashmore offers bonds from emerging markets in both hard and local currency denominations. These bonds can be issued by both public and private institutions. The multi-asset sector focuses on funds that are oriented towards combinations of different investments in emerging markets. In recent years, Ashmore has expanded its range of investments in emerging markets to include alternative asset classes such as private equity, infrastructure, or real estate. However, most of these products are primarily targeted at institutional clients. An important factor in Ashmore's success is the expertise the company possesses in various emerging market economies. The company has a team of over 170 analysts spread across the world who have in-depth knowledge of local markets. Additionally, Ashmore utilizes modern analytical tools to quickly and reliably aggregate and evaluate data from various sources, enabling the company to make well-informed decisions. To provide customers with easy access to its products, Ashmore also collaborates with other investment firms. For example, the company is a key partner of ETF providers such as BlackRock or Invesco, who incorporate Ashmore's products into their fund portfolios. Overall, Ashmore Group PLC is a stable and reliable asset management company that has been very successful in investments in emerging markets. The company offers a wide range of investment products and is capable of uncovering very interesting investment opportunities through comprehensive market analysis. Ashmore places a strong emphasis on collaboration with local businesses and governments - a recipe for success that is likely to pay off in the coming years. Ashmore Group ist eines der beliebtesten Unternehmen auf Eulerpool.com.

Liabilities Details

Assessing Ashmore Group's Liabilities

Ashmore Group's liabilities constitute the company's financial obligations and debts owed to external parties and stakeholders. They are categorized into current liabilities, due within a year, and long-term liabilities, which are due over a longer period. A detailed assessment of these liabilities is crucial for evaluating Ashmore Group's financial stability, operational efficiency, and long-term viability.

Year-to-Year Comparison

By comparing Ashmore Group's liabilities year-over-year, investors can identify trends, shifts, and anomalies in the company’s financial positioning. A decrease in total liabilities often signals financial strengthening, while an increase might indicate enhanced investments, acquisitions, or potential financial strain.

Impact on Investments

Ashmore Group's total liabilities play a significant role in determining the company's leverage and risk profile. Investors and analysts examine this aspect meticulously to ascertain the firm’s ability to meet its financial obligations, which influences investment attractiveness and credit ratings.

Interpreting Liability Fluctuations

Shifts in Ashmore Group’s liability structure indicate changes in its financial management and strategy. A reduction in liabilities reflects efficient financial management or debt payoffs, while an increase may suggest expansion, acquisition activities, or accruing operational expenses, each carrying distinct implications for investors.

Frequently Asked Questions about Ashmore Group stock

What is the level of liabilities of Ashmore Group this year?

Ashmore Group has a debt balance of 97.1 M GBP this year.

What were the liabilities of Ashmore Group compared to the previous year?

The liabilities of Ashmore Group have increased by -11.65% dropped compared to the previous year.

What are the consequences of high debt for investors of Ashmore Group?

High liabilities can pose a risk for investors of Ashmore Group, as they can weaken the company's financial position and impair its ability to meet its obligations.

What consequences do low liabilities have for investors in Ashmore Group?

Low liabilities mean that Ashmore Group has a strong financial position and is able to meet its obligations without overburdening its finances.

How does an increase in liabilities of Ashmore Group affect the company?

An increase in liabilities of Ashmore Group can lead to the company having more obligations and potentially find it more difficult to meet its financial commitments.

How does a reduction in the liabilities of Ashmore Group affect the company?

A decrease in the liabilities of Ashmore Group can lead to the company having fewer obligations and a stronger financial position, which can make it easier for the company to fulfill its financial commitments.

What are some factors that influence the liabilities of Ashmore Group?

Some factors that can influence the liabilities of Ashmore Group include investments, acquisitions, operating costs, and sales development.

Why is the level of liabilities of Ashmore Group so important for investors?

The liabilities of Ashmore Group are important for investors as they serve as an indicator of the company's financial stability and provide investors with information on how the company meets its financial obligations.

What strategic measures can Ashmore Group take to modify the liabilities?

To change its liabilities, Ashmore Group can take measures such as cost savings, increasing revenue, selling assets, raising investments, or forming partnerships. It is important for the company to conduct a thorough review of its financial situation to choose the best strategic actions.

How much dividend does Ashmore Group pay?

Over the past 12 months, Ashmore Group paid a dividend of 0.17 GBP . This corresponds to a dividend yield of about 10.38 %. For the coming 12 months, Ashmore Group is expected to pay a dividend of 0.17 GBP.

What is the dividend yield of Ashmore Group?

The current dividend yield of Ashmore Group is 10.38 %.

When does Ashmore Group pay dividends?

Ashmore Group pays a quarterly dividend. This is distributed in the months of December, March, December, March.

How secure is the dividend of Ashmore Group?

Ashmore Group paid dividends every year for the past 21 years.

What is the dividend of Ashmore Group?

For the upcoming 12 months, dividends amounting to 0.17 GBP are expected. This corresponds to a dividend yield of 10.47 %.

In which sector is Ashmore Group located?

Ashmore Group is assigned to the 'Finance' sector.

Wann musste ich die Aktien von Ashmore Group kaufen, um die vorherige Dividende zu erhalten?

To receive the latest dividend of Ashmore Group from 3/31/2025 amounting to 0.06 GBP, you needed to have the stock in your portfolio before the ex-date on 2/28/2025.

When did Ashmore Group pay the last dividend?

The last dividend was paid out on 3/31/2025.

What was the dividend of Ashmore Group in the year 2024?

In the year 2024, Ashmore Group distributed 0.169 GBP as dividends.

In which currency does Ashmore Group pay out the dividend?

The dividends of Ashmore Group are distributed in GBP.

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Andere Kennzahlen von Ashmore Group

Our stock analysis for Ashmore Group Revenue stock includes important financial indicators such as revenue, profit, P/E ratio, P/S ratio, EBIT, as well as information on dividends. We also assess aspects such as stocks, market capitalization, debt, equity, and liabilities of Ashmore Group Revenue. If you are looking for more detailed information on these topics, we offer comprehensive analyses on our subpages.