Anuj Arora is a managing director and portfolio manager within the Emerging Markets and Asia Pacific Equities team at JP Morgan Asset Management based in London. He joined the firm in 2006 and is responsible for managing the GEM Diversified strategy, as well as overseeing all aspects of research related to quantitative strategies within the Emerging Markets and Asia Pacific Equities team, including asset allocation and risk management. Prior to joining the firm, Anuj was a quantitative analyst for Mesirow Financial and an analyst at Birkelbach Investment Securities. He graduated from the Illinois Institute of Technology with an MSc in Finance.
Amit Mehta, executive director, is a portfolio manager responsible for global emerging markets portfolios at JP Morgan Asset Management based in London. He joined the firm in 2011 and prior to this Amit worked at Prusik Investment Management. He graduated from Kings College London with a BSc (Hons) in Mathematics and is a CFA charterholder.
Sonal Tanna graduated from the London School of Economics with a BSc in economics and political science. She started her career with JP Morgan Asset Management in 1999 and is currently a vice president and fund manager for emerging Europe, Middle East and African portfolios within the emerging markets equity team based in London. Sonal has been managing funds for over three years and uses a fundamental, bottom up approach to investing. She is a holder of the CFA designation.
Richard Titherington has worked at JP Morgan since 1986, and is now the Chief Investment Officer and Head of the Emerging Markets Equity team. Titherington began his career as an analyst at UKPI, before moving to JP Morgan where he runs a number of emerging market funds. He is based in Hong Kong, and holds an MA in Politics, Philosophy and Economics from Oxford University.
To provide long-term capital growth by investing primarily in an aggressively managed portfolio of emerging market companies. At least 67% of the Sub-Fund's assets (excluding cash and cash equivalents) will be invested in equity securities of companies that are domiciled in, or carrying out the main part of their economic activity in, an emerging market country.
Rank 139/267 Total Return
Rank 162/267 Standard Deviation
Rank 182/267 Max Drawdown
|137||Sarasin IE Emerging Mkts - Systematic (USD) A GBP||GBP||
|138||Oppenheimer Developing Markets Eqty SRI C Acc USD||GBP||
|139||JPM Emerging Markets Opportunities A Acc USD||GBP||
|140||Janus Emerging Markets A USD Acc||GBP||
|141||City of London Emerging World USD Inst||GBP||
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|161||Wellington Emerging Markets Equity USD D Acc Unh||GBP||
|162||MGI Emerging Markets Equity M-1 EUR||GBP||
|162||JPM Emerging Markets Opportunities A Acc USD||GBP||
|164||SEI SGMF Emerging Markets Equity USD Inst||GBP||
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Month by Month Performance
Returns Vs Risk
- Czech Republic
- Hong Kong
- United Kingdom
- Launch date31/07/1990
- Share Class size279Mn
- Base currencyUSD
- Min. initial investment35,000
- Min. regular additional investment0
- Annual management1.50%
- Initial investment5