AQUIS Vietnam: Active Access to One of Asia’s Most Dynamic Equity Markets
Vietnam has emerged as one of the most compelling equity markets in Asia, characterised by strong macroeconomic foundations, an expanding middle class, and a rapidly developing private sector. In this landscape, AQUIS Vietnam stands as a leading active investment strategy designed to capture long-term growth through deep on-the-ground research and disciplined portfolio construction. As global investors seek exposure to frontier and emerging Asian markets with sustainable structural momentum, the role of specialised managers becomes increasingly critical.
Supported by favourable demographics, resilient domestic demand and a strategic positioning within global supply chains, Vietnam continues to benefit from strong economic reforms and increasing capital market sophistication. AQUIS Vietnam leverages these developments, focusing on fundamentally sound companies with robust earnings potential, competitive advantages and governance standards aligned with international expectations. The strategy prioritises risk-adjusted returns through active engagement, ESG integration and disciplined selection based on intrinsic value.
Aquis Capital’s long-standing presence in Vietnam enables a unique perspective on market dynamics. Local research capabilities provide direct access to corporate management teams, enabling a nuanced understanding of structural trends, operational performance and emerging sectoral opportunities. This proximity is particularly valuable in a market where information asymmetry remains high and alpha generation strongly depends on fundamental insights and local networks.
The Vietnamese equity universe offers exposure to sectors undergoing deep structural transformation: manufacturing, logistics, banking, consumer goods, real estate and technology. These industries are driven by rising productivity, foreign direct investment and increasing participation of private enterprises. Through its selective approach, AQUIS Vietnam identifies companies positioned to benefit from long-term shifts in consumption, industrial upgrading and digitalisation.
From a portfolio perspective, Vietnam provides diversification benefits through low correlation with developed markets, strong earnings growth and improving liquidity conditions. Aquis Capital’s methodology emphasises long-term ownership, alignment with management teams and the identification of catalysts likely to unlock future value. The strategy’s disciplined framework is designed to support resilience through different market cycles while remaining focused on sustainable performance.
As Vietnam progresses toward potential market reclassification and continues modernising its regulatory infrastructure, institutional interest is expected to grow further. Investors seeking high-conviction, active exposure to this expanding market will find AQUIS Vietnam a comprehensive solution rooted in local expertise, global standards and a commitment to long-term capital stewardship.