Who we are

Aberdeen Standard Investments is dedicated to helping investors around the world reach their desired investment goals and broaden their financial horizons.

We seek to provide world-class investment expertise across a breadth of markets and asset classes. Our full range of solutions span equities, multi-asset, fixed income, liquidity, sovereign wealth funds, real estate and private markets. Coupled with a wide range of investment approaches, we transform new investment ideas into practical investment products designed to deliver real value for money to investors.

With employees in more than 40 locations worldwide, our operations extend across global financial capitals and important regional centres. This brings us closer to our clients and customers around the world, and provides invaluable knowledge and insight to share with our people.

Today, we manage a total of £486.5bn (€574.2bn/$644.5bn) of assets on behalf of governments, pension funds, insurers, companies, charities, foundations and individuals across 80 countries (as at 31 December 2019). As a responsible global investor, we leverage our scale and market position to raise standards in both the companies and industries in which we invest, and help drive best practice across the asset management industry.

As at the 31st of March 2020, Source: Aberdeen Standard Investments

Aberdeen Standard Investments in Thailand

Aberdeen Standard Asset Management (Thailand) Limited is part of Aberdeen Standard Investments, which is the investment arm of Standard Life Aberdeen plc.

Aberdeen Standard Asset Management (Thailand) Limited is a licensed mutual fund, private fund, provident fund as well as a property fund management company.

Aberdeen Standard Investments is a brand of the investment businesses of Aberdeen Asset Management and Standard Life Investments.

Risk warning
Risk warning – The value of investments and the income from them can go down as well as up and you may get back less than the amount invested. Please study product’s features, conditions, and relevant risks before making investment decision. Past performance/ performance comparison relating to a capital market product is not a guarantee of future results.