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Invesco wins the Insurance Asset Risk Emerging Markets Manager of the Year award

Invesco wins the Insurance Asset Risk Emerging Markets Manager of the Year award
Invesco wins the Insurance Asset Risk Emerging Markets Manager of the Year award

The winners have been announced for the Insurance Asset Risk Awards 2020 and we are delighted to confirm that Invesco has won the Emerging Markets Manager of the Year award.

Invesco is relentless in its pursuit of achieving more for insurance clients, and this focus on client outcomes is perhaps best reflected in our customised offering of emerging markets fixed maturity strategies as well as some highly innovative passive solutions within our ETF range.

Richard Glenn, Head of EMEA Insurance Distribution & Strategy, Invesco

What Insurance Asset Risk said about Invesco

The acquisition of Oppenheimer, completed in the first half of 2019, boosted Invesco's position as a leader in the emerging markets space, adding some top performing active equity and debt funds to its range. Indeed, the company is regularly cited as a major player in both debt and equity emerging market assets using its local knowledge to uncover investment opportunities across the EM range.

The New York-based emerging markets equities team has been investing in the asset class since 1996 and its EM Equity Fund, which was launched in November of that year, is the largest fund of its kind with $46bn in assets under management. The flagship fund is supported by an extensive range of regional and country focused emerging market portfolios, managed by specialists from a variety of investment centres globally.

On the fixed income side, Invesco has investment professionals spread across 14 locations in major markets, covering the full spectrum of EM debt assets from hard currency emerging market bond funds, to flexible bond strategies and highly customised fixed maturity products. The company currently manages $4.9bn in emerging markets focused fixed maturity products across 26 mandates in Asia and Europe.

The asset manager has also branched out beyond the vanilla equity and debt options to offer low cost smart beta and factor investments. It launched the first European-based China A-shares ETF and has been issuing products on Saudi Arabia and Kuwait since 2018.

How the awards were judged

All of the judges who participated in the awards panel are senior industry experts from re/insurers across Europe and the UK, each chosen for their knowledge and objectivity. Judges reviewed the submitted entry material and then voted in a secret ballot. Votes were counted and verified by Insurance Asset Risk's team.

You can see the full list of winners here.

Investment risks

  • The value of investments and any income will fluctuate (this may partly be the result of exchange rate fluctuations) and investors may not get back the full amount invested.

Important information

  • Where individuals or the business have expressed opinions, they are based on current market conditions, they may differ from those of other investment professionals and are subject to change without notice.
  • Any reference to a ranking, a rating or an award provides no guarantee for future performance results and is not constant over time.