Legg Mason Martin Currie
Emerging Markets Fund

The Legg Mason Martin Currie Emerging Markets Fund is a highly selective portfolio comprised of 40-60 highly profitable businesses with sustainable long-term growth prospects.

Martin Currie

Legg Mason Martin Currie Emerging Markets Fund

The Fund offers investors an opportunity set of superior, growth-driven companies propelled by the long-term trends of growing populations, rising urbanisation, and an expanding middle class.

HIGH-CONVICTION

A portfolio of the best emerging market companies identified by Martin Currie’s fundamental bottom-up research process.

AWARD WINNING TEAM

The Martin Currie emerging markets team has a wealth of investment and emerging markets experience.

RISK MANAGEMENT

Portfolios emphasise stock specific conviction whilst maintaining broad diversification. Every holding is backed by proprietary investment research.

Learn More About the Fund

Alastair Reynolds and the Martin Currie Emerging Markets team discuss their process for identifying attractive emerging market investments.

“The interplay of mega cities with new technology and the rapid growth of middle class consumers is giving rise to some truly world class emerging market companies.”

Alastair Reynolds
Portfolio Manager

Philosophy & Process

Driven by in-depth research, the Fund seeks to identify leading emerging market companies trading at attractive valuations to create a portfolio of strong businesses leveraged to the growth of the world's most dynamic economies.

CO-PORTFOLIO MANAGER APPROACH

Each member of the Martin Currie emerging markets team has a dual role as both portfolio manager and analyst and is responsible for idea generation, research, security selection and portfolio construction.

PROPRIETARY MODELING

Proprietary modeling techniques are used to perform sensitivity analysis, explore scenarios, and make valuation comparisons across multi-country investment universe.

LONG-TERM INVESTING

Investing based on three-to -five-year horizons allows the Fund to fully capture short-term mispricing opportunities and can result in low portfolio turnover.

Meet the Team

The Fund’s investment team has a wealth of experience in emerging market investing, with over 100 years combined investment experience.

Alastair Reynolds

Alastair Reynolds

Portfolio Manager
Experience: 30 years

Andrew Mathewson

Andrew Mathewson

Portfolio Manager
Experience: 18 years

Colin Dishington

Colin Dishington

Portfolio Manager
Experience: 10 years

Divya Mathur

Divya Mathur

Portfolio Manager
Experience: 25 years

Paul Desoisa

Paul Desoisa

Portfolio Manager
Experience: 7 years

Paul Sloane

Paul Sloane

Portfolio Manager
Experience: 27 years

Fundamental ESG Integration

Martin Currie believes ESG factors are important drivers of long-term performance. Proprietary ESG resources, including industry frameworks to highlight the most relevant topics for engagement with company management.

RELEVANCE FRAMEWORKS

Leverages proprietary ESG industry frameworks to highlight the most relevant factors influencing long-term investment performance.

ACTIVE ENGAGEMENT

The team actively engages management of portfolio companies in discussions of relevant ESG considerations.

SGD MAPPING

Each company is mapped to UN Sustainable Development Goals to provide the team a sense of climate exposure at the portfolio level.

Related Insights