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Specialist in Asia Pacific, Japan, China, India and South East Asia and Global Emerging Market equities.

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Stewart Investors manage investment portfolios on behalf of our clients over the long term and have held shares in some companies for over 20 years. They launched their first investment strategy in 1988.

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Learn how our investment team delivers capital growth and inflation-protected income by investing in a globally diversified portfolio of infrastructure securities.
We consider ESG risks to be factors that may place business value at risk. Companies at risk are identified using both external providers and our own internally driven research, which is based on a systematic and extensive company meeting program.
Team members bring diverse backgrounds and deep experience in both infrastructure and equities markets to our funds.
Tap into a relatively stable investments in real assets, infrastructure, property and essential services we all rely upon
The strategy’s investable universe includes utilities, toll roads, railroads, airports, energy infrastructure, mobile towers and data centres.
Assets owned by our unlisted infrastructure team are highly sought after assets the world relies on.
A diverse range of global, regional and sector based equity, multi-asset and fixed income investment strategies and funds
Each investment team has developed a climate change statement and carbon footprint report. we provide a combined footprint for all listed equity portfolios and individual listed equity team carbon footprints.
We consider ESG risks to be factors that may place business value at risk. Companies at risk are identified using both external providers and our own internally driven research, which is based on a systematic and extensive company meeting program.
Proxy voting rights are an important asset for listed equity investors and exercising these rights is a core part of our stewardship responsibilities. we seek to vote on all possible resolutions at company meetings.
We consider ESG risks to be factors that may place business value at risk. Companies at risk are identified using both external providers and our own internally driven research, which is based on a systematic and extensive company meeting program.
We consider ESG risks to be factors that may place business value at risk. Companies at risk are identified using both external providers and our own internally driven research, which is based on a systematic and extensive company meeting program.
Each of our multiple investment teams are specialists in their respective fields and set their own investment philosophies and processes. Our commitment to responsibility investment is a common thread which runs through all our diverse investment capabilities.
Discover our socially responsible investing approach through active ownership, ESG integration, and exclusion screening.
We're driven by our Responsible Investment principles. Our commitment to RI and ESG analysis enables us to make more informed decisions that not only benefit our clients, but our environment and our society.
We consider ESG risks to be factors that may place business value at risk. Companies at risk are identified using both external providers and our own internally driven research, which is based on a systematic and extensive company meeting program.
We consider ESG risks to be factors that may place business value at risk. Companies at risk are identified using both external providers and our own internally driven research, which is based on a systematic and extensive company meeting program.
As investors, we know that biodiversity loss creates risks for the companies we invest in together with the broader economy, and that we need to do more to both understand and mitigate those risks.
We consider ESG risks to be factors that may place business value at risk. Companies at risk are identified using both external providers and our own internally driven research, which is based on a systematic and extensive company meeting program.
global asset management group focused on providing high quality, long-term investment capabilities to clients. we bring together independent teams of active, specialist investors who share a common commitment to responsible investment principles.
Read regular news updates, research papers, investment strategy updates & thought pieces from our First Sentier Investors leading experts here today.
We have collected over 130 case studies from across our diverse investment teams on how a culture of responsible investment and stewardship manifests itself in real-life investment decisions and engagement with companies.
We consider ESG risks to be factors that may place business value at risk. Companies at risk are identified using both external providers and our own internally driven research, which is based on a systematic and extensive company meeting program.
First Sentier Investors is the new name for First State Investments. We’ve always been renowned for our research-led active management approach. Curious to know more?
Our responsible investment strategy is founded on a strong governance framework. A key part of good governance are policies which set clear expectations for our people. Transparency is also an important component of good governance as it allows our clients and other stakeholders to hold us accoun...
We consider ESG risks to be factors that may place business value at risk. Companies at risk are identified using both external providers and our own internally driven research, which is based on a systematic and extensive company meeting program.
Access a global opportunity set with the on-the-ground research and skill of specialist emerging markets investors.
Find out how our investment team maximises total returns by investing in a portfolio if listed global property securities from around the world.
We flex our asset allocation with changing market conditions to stay positioned to deliver on objectives.
From growing companies to up-and-coming names, our range of active, research-driven approaches to the Australian share market aim to deliver above market returns over the long term.
Our FAQ Guide shares why we have rebranded to First Sentier Investors and the implications this has for our products
Learn more about our multi asset investment strategies that aim to deliver a return of 4.5% pa above inflation over rolling five year periods.
We consider ESG risks to be factors that may place business value at risk. Companies at risk are identified using both external providers and our own internally driven research, which is based on a systematic and extensive company meeting program.
Investing across the Asia region largest dynamic and fastest growing equities markets for high quality companies that can outperform in the long term.
Discover how strategic global credit portfolio construction can help generate diversified investments and reduce overall portfolio risk.
As a global platform, we take great care to ensure alpha sources are uncorrelated to markets and each other.
FSSA Investment Managers is an independent investment management team within First Sentier Investors. View their range of Asia Pacific and emerging markets equity strategies here.
Discover our specialist Australian equity strategy team provides long term capital growth by investing in shares.
We follow a prudent investment approach focused on consistent income generation, to achieve superior risk-adjusted returns.
Learn more about our high yield investment process as part of our overall high yield fixed income strategy.
First Sentier Investors aims to be recognised as world-class for all the asset categories that we manage. The following awards are testament to our investment approach, and the expertise of our excellent, hard-working teams.