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International Equity · Equity

Emerging Markets Growth

Emerging Markets Equity

Our Emerging Markets Growth strategy seeks to achieve long-term growth by building a concentrated portfolio of competitively advantaged global businesses with potential for sustained earnings growth.

Why invest in Emerging Markets Growth?

Global emerging markets growth strategy with a strong emphasis on sustainable earnings growth

Focus on companies with high returns on capital and double-digit earnings growth

Concentrated portfolio of 25–40 high-quality growth companies

Low portfolio turnover with long-term holding periods

Portfolio Management

Damian Bird, CFA

Head of Team, Portfolio Manager & Analyst

Dafydd Lewis, CFA

Portfolio Manager & Analyst

Kumar Pandit, CFA

Portfolio Manager & Analyst

Performance

Returns.

As of 06-30-2026

CompositeQTRYTD1 Yr3 Yr5 Yr10 YrInception (07-01-2015)
Polen Emerging Markets Growth (Gross)31.53%28.87%34.34%19.02%5.24%7.20%6.75%
Polen Emerging Markets Growth (Net)31.34%28.59%33.86%18.08%4.51%6.64%6.20%
MSCI Emerging Markets (Net)24.05%23.85%43.51%23.00%7.19%10.07%7.85%

The inception date of the GIPS compliant composite track record is 07-01-2015, distinct from the strategy's 12-01-2009 inception date. Performance shown prior to March 2023 represents results achieved by the Global Emerging Markets team while certain members were part of Columbia Threadneedle. The team joined the firm on March 1, 2023. The performance results from Columbia Threadneedle are linked to Polen Capital's performance record.

Past performance is not indicative of future results. Current performance may be lower or higher. Periods over one year are annualized. Performance figures are presented gross and net of fees and have been calculated after the deduction of all transaction costs and commissions and include the reinvestment of all income. Benchmark data source: Bloomberg.

Available vehicles

Separately Managed Account

Emerging Markets Growth SMA

Inception Date: 12-01-2009

View SMA →

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Important Disclosures

Polen Capital claims compliance with the Global Investment Performance Standards (GIPS). GIPS® is a registered trademark of CFA Institute. CFA Institute does not endorse or promote this organization, nor does it warrant the accuracy or quality of the content contained herein. This presentation is supplemental information to the fully compliant composite performance disclosure available at polencapital.com. All performance is calculated in U.S. Dollars.

The MSCI Emerging Markets Index is a market capitalization weighted equity index that measures the performance of the large and mid-cap segments across emerging market countries. The index is maintained by Morgan Stanley Capital International. It is impossible to invest directly in an index. The performance of an index does not reflect any transaction costs, management fees, or taxes.

The strategy integrates material environmental, social, and governance (ESG) factors into research analysis as part of a comprehensive evaluation of a company's long-term financial sustainability. There is a risk that the investment techniques and risk analyses applied, including but not limited to the integration of ESG factors into the research analysis, will not produce the desired results and that legislative, regulatory, or tax developments may affect the investment techniques available. There is no guarantee that the investment objective will be achieved.