Ashmore Emerging Markets Strategy Phase 3 slide image

Ashmore Emerging Markets Strategy Phase 3

Financial performance overview: H1 2021/22 Ashmore • AuM -8% over six months Net flows -US$3.2 billion Negative investment performance -US$3.9 billion H1 2021/22 H1 2020/21 £m £m YoY % AuM (US$bn) 87.3 93.0 (6) Adjusted net revenue 138.2 156.8 (12) • Adjusted net revenue -12% Adjusted operating costs (47.8) (51.2) 7 Net management fees -6% - Lower performance fees & FX hedge gains Adjusted EBITDA 92.0 107.2 (14) margin 67% 68% • Adjusted EBITDA -14% Operating costs reduced by 7% Seed capital 25.2 49.3 (49) - Maintained margin in the mid/high 60%s Profit before tax 116.0 150.6 (23) Diluted EPS (p) 13.3 18.2 (27) Profit before tax -23% Delivered seed capital gain of £25.2 million DPS (p) 4.80 4.80 . Diluted EPS -27%, DPS maintained at 4.80p Figures stated on an adjusted basis exclude FX translation and seed capital-related items 27
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