Cashmore+Co is a long only equity investor. Our investments are based on bottom-up fundamental research. We focus on long run returns. We have a particular bias towards Southeast Asia where strong demographic and urbanisation trends underpin economies.

Cashmore + Co is a small family office and the key principal has over 30 years investment experience in Asia and the capital markets. In the four years ending 2019, our fund has grown at a compound rate of 16% per annum after all fees. We are benchmark agnostic, absolute return investors and have a bias towards growth.

For more information, please contact info@cashmorecapital.com.