Amundi’s total exposure to Silicon Valley Bank (SVB), Signature Bank and Silvergate Bank assets was already negligible before SVB’s collapse : 0.003 % of its global assets under management as of the 8th of March.
Investment outlook 2023: Some light for investors after the storm
A responsible player serving the transition
IN THE HEADLINES
2022 4th Quarter and Annual results
In 2022, Amundi did more than resist in a difficult context and continued to develop, thanks to the growth drivers of its Ambitions 2025 plan
Ukraine/Russia: information relating to portfolios
Following the beginning of the events taking place in Ukraine, Amundi communicates information its portfolio management
Biodiversity : It’s Time to Protect Our Only Home - N°2 Addressing Biodiversity Loss: A Call to Action
In order to better integrate biodiversity considerations into portfolio construction, first there is a need to better understand how companies impact and depend on biodiversity.
Compass - Inflationary era demands new approach from pension plans
Inflation, whose surge triggered a broad-based market rout this year, has peaked. But there won’t be a revival of the double-digit returns seen in the past twelve years.
Global Investment Views - April 2023
Cross Asset Investment Strategy - March 2023
Global Investment Views - March 2023
Cross Asset Investment Strategy - February 2023
Global Investment Views - February 2023
Cross Asset Investment Strategy - January 2023
ESG: The essence of who we are
Since its creation in 2010, Amundi has made responsible investment a cornerstone of its strategy, making social and environmental responsibility one of its four founding pillars.
A comprehensive range of investment capabilities at your service
Our investment capabilities span the full range of asset classes and are developed with you in mind.
Amundi's Fixed Income teams provide solutions that help investors build a better financial future.
Amundi offers a comprehensive range of equity strategies supported by extensive internal resources.
Amundi offers strong-convicted diversified solutions across the main asset classes.
ETF, Indexing & Smart Beta
ETF, Indexing and Smart Beta innovative and cost-competitive solutions to investors of all stripes, widely recognized all over the world.
Our approach looks across asset classes in an integrated process to find opportunities.
Real & Alternative Assets
Access to asset classes which allow for diversification and long-term yield, through an illiquidity premium
Amundi extends its savoir-faire to institutional investors in order to accompany them dealing with their main challenges, providing them with investment solutions as well as specific services.
As the European leader of asset management, Amundi has provided Corporates for more than 30 years with effective and end-to-end solutions thanks to wide-ranging capabilities and bespoke services.
The complexity of the insurance environment has raised Insurance companies expectations in terms of asset allocation and regulatory assessment.
Amundi aims to be the dedicated partner of pension funds, whether they are public or private, Defined-Benefit, Defined-Contribution or Hybrid, by helping them to match their objectives...
In an environment marked by uncertainties, may they be macroeconomic or political, Sovereign entities are pursuing broad objectives.