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GTP is a long only, thematic driven, equities asset manager.
Our bottom billion strategy invests predominantly in EM. Public markets allow the opportunity to be accessed at material scale and with appropriate governance standards and liquidity. New listings are continually expanding the Strategy’s investment universe. We reject the premise that a trade-off must exist between investment returns and ESG compatibility. High growth portfolio with low correlations to global markets that invests across all market caps without consideration of style or benchmark weighting. Approximately 70% of the portfolio is comprised of securities which are not members of the MSCI Emerging Markets index. Our portfolio focused on the last bastion of under-saturation and under-penetration globally, as 2 billion people earning US$2-10 per day ascend out of poverty. As a result we tend not to invest in material/fossil fuel, financials (except for microlending).