Ninety One is an independent asset manager that offers distinctive active strategies to institutions, advisors, and individual investors worldwide. It specializes in equities, fixed income, multi-asset, and alternatives and invests actively across global, emerging, and frontier markets. Ninety One employs a range of Fund vehicles, pooling, and separate accounts to meet its client's diverse needs.
Ninety One's range of active equity investment strategies spans global, regional, emerging and frontier markets. It provides distinct investment styles and return profiles to suit the different needs of its clients.
Ninety One is among the first managers to offer dedicated emerging market debt investment strategies. In developed markets, the credit team invests globally and across the full rating spectrum to find investment opportunities that can deliver on its clients’ needs.
The ultra-low yield environment, correlations across traditional asset classes and the importance of asset allocation to investment returns underscore the need for a range of relevant multi-asset strategies that can deliver the range of outcomes clients require.