William Blair Emerging Markets ex China Growth Strategy
Broad emerging markets ex China portfolio of 80-130 stocks diversified across market cap, region, industry, and corporate lifecycle with a structural weight to small-cap companies.
Capturing Growth Opportunities
Investments geared toward structurally attractive consumer trends across many emerging markets beyond China, allowing investors to make allocation decisions between China and the rest of emerging markets.
Disciplined Investment Approach
Combines deep fundamental research with systematic inputs to consistently identify alpha opportunities.
Consistent Philosophy, Process
William Blair has over 20 years of experience investing in emerging markets with the same philosophy and process.
We manage $13.9 billion in emerging market securities across all strategies, $11.1 billion in dedicated emerging market strategies as of December 31, 2022.
Emerging markets make up a disproportionate percentage of our quality growth universe: 47%
As of December 31, 2022
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