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A statement released earlier today by Numis about Ashmore Group PLC (LON:ASHM) maintains the target price at 285.00GBX

Just yesterday Ashmore Group PLC (LON:ASHM) traded -0.16% lower at 364.60GBX. The company’s 50-day moving average is 356.48GBX and its 200-day moving average is 319.71GBX. The last stock close price is up 13.98% from the 200-day moving average, compared to the S&P 500 which has decreased -0.01% over the same time period. 25,488 shares of Ashmore Group PLC exchanged hands, down from an avg. volume of 1,214,730

In a report released on 10/14/2016 Numis hold steady the stock price target of Ashmore Group PLC (LON:ASHM) from 285.00GBX to 285.00GBX reporting a possible downside of -0.22%.

Performance Chart

Ashmore Group PLC (LON:ASHM)

With a total market value of 0 GBX, Ashmore Group PLC has PE ratio of 20.13 with a one year low of 193.50GBX and a one year high of 378.50GBX .

A total of 16 brokerages have released a report on Ashmore Group PLC. One analyst rating the company a strong buy, zero analysts rating the company a buy, 9 brokers rating the stock a hold, 7 brokers rating the stock a underperform, and finally 0 brokers rating the stock a sell with a average stock price target of 274.00GBX.

About Ashmore Group PLC (LON:ASHM)

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.

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