Mirae Asset is one of Asia's most prominent independent financial services firms. Since its inception in 1997, the firm has expanded its presence to 12 countries. Today, Mirae Asset Global Investments is recognized as one of the world's largest emerging market equity investment managers1. We focus on actively managed, high-conviction emerging market portfolios through a bottom-up investment process rooted in team-based on-the-ground research. Mirae Asset offers a broad range of options for clients' emerging market equity needs, with powerful research coverage of the emerging markets.
A Global Force
Mirae Asset Global Investments manages over $70 billion in assets worldwide, including over $20 billion in emerging market equity portfolios. This makes us one of the world's largest managers of emerging market equities1. With clients in North America, South America, Europe, Australia and Asia, Mirae Asset Global Investments strives to be the world's first choice for expertise in emerging market equity investing.
Focus on Emerging Markets
Mirae Asset Global Investments has one of the largest teams of investment professionals dedicated to emerging markets. Our global staff of 120 investment professionals takes a collaborative, team-based approach to constructing portfolios. Portfolio managers and analysts build high-conviction portfolios from offices in Australia, Brazil, Canada, China, Colombia, Hong Kong, India, Korea, Taiwan, the U.K., the United States, and Vietnam.
On the Ground, Research Driven
Research is the core of our business and we recognize its vital importance to long-term successful investing. Our in-market investment professionals maintain proximity to the investment opportunities that we research, allowing a deep understanding of companies and the cultures in which they operate. Our worldwide team of portfolio managers, analysts and strategists collaborates around the globe and around the clock, resulting in a team-based, bottom-up investment process that produces high-conviction portfolios.
1Source: Investments and Pensions Europe, January 2014.
All figures as of May 31, 2015.
There can be no guarantee that any strategy (risk management or otherwise) will be successful. All investing involves risk, including potential loss of principal.