Emerging Markets Equity

Strategy Overview

Our Emerging Markets Equity strategy seeks to invest in quality companies with attractively priced future growth prospects in emerging markets.

GQG Partners’ fundamental investment process evaluates each business based on financial strength, sustainability of earnings growth, and quality of management. Our Emerging Markets Equity portfolios seek to limit downside risk while providing attractive returns to long-term investors over a full market cycle.

 

Investment Vehicles

Managed Funds Australia

Emerging Markets Equity Fund

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UCITS

Emerging Markets Equity Fund

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US Mutual Funds

Emerging Markets Equity Fund

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Separate Accounts

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Related Insights

The Fund is ranked amongst the highest risk-adjusted funds and in the top return performance quartile of the investor share class of actively managed funds in the Morningstar Diversified Emerging Markets category (311 funds as of December 31, 2021).

Jan. 24, 2022

The rapid increase of China’s weight in the MSCI Emerging Markets Index echoes the ascent of Japan in the MSCI EAFE Index in the 1980s, bringing with it three considerations given the market environment for investors today: active management in emerging markets, Chinese regulatory risk, and ESG.

Nov. 5, 2021

GQG Partners announces Deputy Portfolio Managers; names new Partner, Global Compliance Officer, and Associate General Counsel

Jul. 1, 2019

Rajiv Jain spoke with Citywire Switzerland about how he seeks to avoid corruption in emerging markets.

Jul. 10, 2018