Stock Price
217.20
Daily Change
5.80 2.74%
Monthly
2.26%
Yearly
64.17%
Q2 Forecast
213.53

EPS Reference Time Actual Consensus Previous
2026-09-07 FY2026H2 PM 0.00 0.06
2026-02-12 FY2026H1 PM 0.03 0.00 0.03
2025-09-05 FY2025H2 AM 0.06 0.00 0.08
2025-02-07 FY2025H1 PM 0.03 0.06 0.06
2024-09-05 FY2024H2 AM 0.08 0.08 0.05



Peers Price Chg Day Year Date
AJ Bell 550.50 14.50 2.71% 33.04% Apr/17
Ashmore 217.20 5.80 2.74% 64.17% Apr/17
Azimut Holding 37.42 1.32 3.66% 67.05% Apr/17
Julius Baer Gruppe 63.02 1.14 1.84% 27.42% Apr/17
Deutsche Boerse 261.10 1.60 0.62% -5.88% Apr/18
Man 267.60 4.60 1.75% 68.94% Apr/17
Intermediate Capital 1,871.00 80.00 4.47% 7.04% Apr/17
3i 2,907.50 121.50 4.36% -30.01% Apr/18
London Stock Exchange 9,456.00 -54.00 -0.57% -18.38% Apr/17
Schroders 579.00 -1.00 -0.17% 83.69% Apr/17


Ashmore Group traded at 217.20 this Friday April 17th, increasing 5.80 or 2.74 percent since the previous trading session. Looking back, over the last four weeks, Ashmore gained 2.26 percent. Over the last 12 months, its price rose by 64.17 percent. Looking ahead, we forecast Ashmore Group to be priced at 213.53 by the end of this quarter and at 202.89 in one year, according to Trading Economics global macro models projections and analysts expectations.

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.