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About the company
JPMorgan Emerging Markets Investment Trust plc is an investment trust company. The Company’s objective is to maximize total return from emerging markets worldwide through a diversified portfolio of underlying investments. The Company's investment policy is to invest in a diversified portfolio, concentrating on countries and shares, and also invest approximately 50% of its assets invested in any one region, and invest over 15% of gross assets in other United Kingdom listed closed-ended investment funds. It may not invest no more than 10% of total assets in any one individual stock at the time of acquisition. The Company invests in various sectors, such as financials, information technology, consumer staples, consumer discretionary, communication services, materials, health care, industrials, real estate, energy, and utilities. The Company’s alternative investment fund manager is JPMorgan Funds Limited.
- Revenue in GBP (TTM)104.69m
- Net income in GBP84.97m
- Incorporated1991
- Employees0.00
- LocationJPMorgan Emerging Markets Inv Trust60 Victoria EmbankmentLONDON EC4Y 0JPUnited KingdomGBR
- Phone+44 20 7742 4000
- Websitehttps://am.jpmorgan.com/gb/en/asset-management/per/products/jpmorgan-emerging-markets-investment-trust-plc-gb00bmxwn182
Profile
Management group(s) | JP Morgan Asset Management (UK) Ltd |
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AIC sector | Global Emerging Markets |
ISIN | GB00BMXWN182 |
Launch date | 16 Jul 1991 |
Share type | Ordinary Share |
Structure | Investment Trust |
Base currency | GBP |
Objective
To maximise total returns from Emerging Markets and provides investors with a diversified portfolio of shares in companies which the manager believe offer the most attractive opportunities for growth.
Managed by
John Citron, Austin Forey |
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Management & contract fees
Management fee is charged at tiered basis of 0.75% p.a. on the first GBP 500 m of NAV, 0.65% on NAV between GBP 500 m and GBP1 b and 0.60% on NAV in excess of GBP1 b. The fee is calculated and paid monthly in arrears. Contract terminable on notice period of 12 months.
Peer analysis
Company | Revenue (TTM) | Net income (TTM) |
---|---|---|
AVI Global Trust PLC | 140.50m | 134.14m |
Herald Investment Trust plc | 204.97m | 190.88m |
Edinburgh Investment Trust PLC | 141.15m | 131.71m |
Vietnam Enterprise Investments Limited | 101.10m | 68.06m |
TR Property Investment Trust plc | 224.39m | 196.35m |
Ninety One PLC | 697.80m | 163.90m |
Law Debenture Corporation plc | 201.31m | 140.61m |
JPmorgan Emerging Markets Inv Trust PLC | 104.69m | 84.97m |
Fidelity China Special Situations PLC | -173.20m | -213.46m |
Sequoia Economic Infrastrctr Incm Fd Ltd | 131.76m | 110.42m |
Aberforth Smaller Companies Trust plc | 274.29m | 257.22m |
Bankers Investment Trust PLC | 162.31m | 147.90m |
Allianz Technology Trust PLC | 521.55m | 511.54m |
BH Macro Ltd | 146.06m | 34.16m |
Finsbury Growth & Income Trust PLC | 16.81m | 2.34m |
Ashmore Group plc | 205.50m | 93.70m |
Institutional shareholders
Holder | Shares | % Held |
---|---|---|
City of London Investment Management Co. Ltd.as of 12 Aug 2024 | 144.09m | 13.07% |
Lazard Asset Management LLCas of 24 Jul 2023 | 114.09m | 10.35% |
Rathbones Investment Management Ltd.as of 30 Jun 2023 | 71.68m | 6.50% |
Allspring Global Investments LLCas of 30 Jun 2019 | 69.68m | 6.32% |
Quilter Cheviot Ltd.as of 15 Feb 2024 | 41.11m | 3.73% |
Bill & Melinda Gates Foundation Trust (Investment Management)as of 02 Sep 2024 | 34.78m | 3.16% |
Hargreaves Lansdown Asset Management Ltd.as of 02 Sep 2024 | 25.08m | 2.27% |
Craigs Investment Partners Ltd. (Investment Management)as of 02 Sep 2024 | 24.39m | 2.21% |
Evelyn Partners Investment Management LLPas of 02 Sep 2024 | 21.50m | 1.95% |
BlackRock Investment Management (UK) Ltd.as of 02 Sep 2024 | 15.46m | 1.40% |