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Monthly Update - October 2025

25th Nov 2025 07:00

Ashoka WhiteOak Emerging Markets Trust Plc - Monthly Update - October 2025

Ashoka WhiteOak Emerging Markets Trust Plc - Monthly Update - October 2025

PR Newswire

LONDON, United Kingdom, November 25

25 November 2025

 

Ashoka WhiteOak Emerging Markets Trust plc

(the `Company')

 

Monthly Update - October 2025

 

The Company's monthly factsheet as at 31 October 2025 is now available: https://awemtrust.com/factsheet/

 

The Fund was up 5.24% in October 2025, underperforming the benchmark by 1.51%. The key contributors include TSMC (+16.8%), Samsung Electronics (+29.3%), and SK hynix (+62.3%%), whereas Alibaba (-4.3%), Cowell e Holdings (-18.7%), and Tencent (-2.7%) were the key detractors.

 

Market Review

In October 2025, the MSCI EM index was up 6.75%. It outperformed other global indices like the US equities (S&P 500) and MSCI World which returned 4.9% and 4.5% respectively.

For the month, IT Services and Industrials outperformed, while Consumer Discretionary and Communication Services underperformed. Large caps outperformed Mid and Small caps this month. Among major EM markets, Taiwan and Poland outperformed, while China and Mexico underperformed.

 

Top 10 Holdings

 

Top 10 holdings (as at 31 October 2025)

Country

% of NAV

TSMC

Taiwan

9.8

Samsung Electronics

South Korea

4.1

Alibaba Group Holding

China/HK

3.8

Tencent Holdings

China/HK

3.3

Naspers

South Africa

2.4

SK hynix

South Korea

2.3

Onesource Specialty Pharma

India

1.7

Hong Kong Exchanges & Clearing

China/HK

1.3

Delta Electronics

Taiwan

1.3

CIE Financiere Richemont

Switzerland

1.1

Total

 

31.2%

Key Contributors

October 2025

Key Contributors

Ending

Weight (%)

Total

Return (%)

Contribution to

Return (bps)

TSMC

9.8

+16.8

+148

Samsung Electronics

4.1

+29.3

+97

SK hynix

2.3

+62.3

+92

Delta Electronics

1.3

+18.4

+22

Hyundai Motor Co Ltd

0.5

+34.3

+12

Key Detractors

October 2025

Key Detractors

Ending

Weight (%)

Total

Return (%)

Contribution to

Return (bps)

Alibaba Group Holding

3.8

-4.3

-17

Cowell e Holdings

0.4

-18.7

-10

Tencent Holdings

3.3

-2.7

-10

Aura Minerals

0.5

-11.0

-8

E Ink Holdings

0.5

-10.4

-6

Source: Factset. Past performance does not predict future returns. The performance calculation is based on GBP. Currency fluctuations will also affect the value of an investment.

 

About Ashoka WhiteOak Emerging Markets Trust plc

 

Ashoka WhiteOak Emerging Markets Trust plc (AWEMT) is a UK investment trust seeking to achieve long-term capital appreciation primarily through investing in a multi-cap portfolio of equities that provide exposure to global emerging markets. Advised by White Oak Capital Pte. Ltd, founded by Prashant Khemka with leading Emerging Markets investment experience.   White Oak Capital Group has delivered an exceptional track record for its other strategies, and has £5.7 billion in assets under management or advisory 4 . Analytical approach integral to disciplined research process underpinned by proprietary frameworks OpcoFinco™ for valuation and ABLEx™ for ESG research.   The team at WhiteOak believes that emerging markets present potential for higher alpha. EM markets remain under-researched and inefficient. AWEM leverages WhiteOak's investment approach to capture the higher alpha potential in these markets.   No fixed management fee. Manager remuneration is aligned with alpha generation and hence shareholders' interest.   The Investment Manager is remunerated solely as a function of outperformance over the benchmark.

 

4   Data as at 31 October 2025. AUM data refers to aggregate assets under management or investment advisory for WhiteOak Group.

 

Further Information

 

For further information on the Company's investment strategy and portfolio construction approach as well as details of the portfolio market cap, regional and sector composition please refer to the latest factsheet.

 

Investment Objective

 

To achieve long-term capital appreciation, primarily investing in equity and equity-related securities that provide exposure to global emerging markets.

 

Summary of Investment Policy

 

The Company shall invest primarily in securities admitted to trading on any stock exchange (which may include stock exchanges in Developed Markets) that provide exposure to companies that are domiciled in Global Emerging Markets (EMs), or that are domiciled in Developed Markets but at the time of investment, derive a majority of their economic value, revenues or profits from, or whose assets or cost base are mainly located in EMs.

 

The Company's LEI is 254900Z4X5Y7NTODRI75

- Ends -

For further information:

 

Company Secretary

[email protected]

Tel: +44 (0) 20 7409 0181

 

 

 

 

Ashoka WhiteOak Capital Pte. Ltd

Prashant Khemka

Via Burson Buchanan

Fadrique Balmaseda

 

Ben Hayward

 

Marex

Mark Thompson

Tel: +44 (0) 20 7016 6711

Eddie Nissen

Tel: +44 (0) 20 7016 6713

Burson Buchanan

Henry Harrison-Topham

Tel: +44 (0) 20 7466 5000

Henry Wilson

[email protected]

 

 

 




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