
Time for Europe
Discover how European markets are becoming increasingly attractive to foreign investors and how they are regaining their place on the world stage.
Assets Under Management¹
Portfolio Managers¹
Analysts¹
US, European and Global equity strategies
Canadian institutional investors can feel the full benefit of the extensive range of opportunities we have on offer - and provide them with a top-quality investment and client management experience in the process.
From global, emerging, regional, ESG integration or risk-driven expertise, explore our capabilities.
We offer a broad range of US, international, global, equity solutions to meet the sophisticated needs of institutional investors:
Dynamic opportunities in US equities
Our US equity platform offers diverse actively managed strategies tailored for institutional investors.
Dating back to 1928, it was the first in the US to integrate responsible investment criteria.
Today, we fully integrate ESG analysis into our research, focusing on strong risk-adjusted returns.
Delivering Strong Risk-Adjusted Returns
Using bottom-up, fundamental stock selection, our global equity strategies have proven track records of delivering strong risk-adjusted returns over the medium term.
Integrated Approach for Optimal Returns
We take a research-led, integrated approach to investing in EM, aiming to create alpha and avoid permanent capital impairment by embedding risk management and portfolio construction tools into our investment process.
Innovative ESG Integration
We implement a diligent and innovative approach to ESG integration, embedding it in our fundamental analysis to uncover risks and opportunities for each investment case.
We offer a wide range of equity strategies, covering all main geographical areas, sectors and capitalization levels.
Robust processes are based on a common philosophy to aim for the best performance while managing risk effectively.
Supported by the strength of extensive internal resources and skills, we are committed to providing tailored products suited to your risk objectives.
1. Source: Amundi, as 31/03/2025.