Ninety One (formerly Investec Asset Management) is a leading global active investment manager offering differentiated expertise across fixed income, credit, specialist equities, multi-asset, and alternative investment strategies. Founded in 1991, the firm is recognized for its active approach to investing and its commitment to generating long-term, sustainable returns for clients. With a strong heritage in emerging markets and a focus on the global energy transition, Ninety One integrates sustainability and impact considerations into its investment philosophy, seeking to create lasting value for people, communities, and the planet. The firm serves institutional investors, financial advisors, and individual clients worldwide through a diverse range of tailored investment solutions.
ABOUT NINETY ONE
Ninety One is a global, independent investment management firm offering a comprehensive range of active investment strategies across multiple asset classes.
The firm’s expertise spans equities, fixed income, multi-asset, and alternative investments, serving institutions, financial advisors, and individual investors worldwide.
Ninety One embeds sustainability into its investment approach through its Invest, Advocate, and Inhabit framework, aligning performance objectives with long-term environmental and social impact.
With offices in 21 locations across 15 countries, the firm combines global reach with local insight to deliver tailored solutions for a diverse client base.
INVESTMENT EXPERTISE
Equities – Ninety One delivers active equity strategies across global, regional, emerging, and frontier markets. Its investment teams apply a variety of disciplined approaches, including 4Factor, Quality, Value, and Thematic investing.
Fixed Income – The firm provides strategies focused on government, corporate, and emerging market debt, designed to generate stable income and preserve capital through changing market cycles.
Multi-Asset – Ninety One offers diversified portfolio solutions that balance risk and return, helping clients achieve their long-term financial goals with flexibility and precision.
Alternative Investments – The firm provides exposure to private equity, infrastructure, and other non-traditional asset classes, enhancing portfolio diversification and uncovering new sources of alpha.