What does Amundi asset management do?
Thanks to its unique research capabilities and the skills of close to 4,800 team members and market experts based in 36 countries, Amundi provides retail, institutional and corporate clients with innovative investment strategies and solutions tailored to their needs, targeted outcomes and risk profiles.
Is Amundi a hedge fund?
Amundi has been running open-ended funds of hedge funds since 1992 and still offers comingled products such as Luxembourg AIF Amundi Absolute Return Harmony.
Is amundi part of Credit Agricole?
Its majority shareholder is Crédit Agricole S.A. In legal terms, Amundi Group owns Amundi Asset Management, as well as several other subsidiaries in the asset management sector, notably CPR Asset Management (CPR AM) and BFT Investment Managers (BFT IM) in France.
Where is amundi?
Paris
Amundi
Amundi headquarters in Paris. | |
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Headquarters | Paris , France |
Area served | Worldwide |
Key people | Valerie Baudson (Chief Executive Officer) |
AUM | €1.794 trillion (June 30 2021) |
What is Amundi?
From Wikipedia, the free encyclopedia Amundi is a French asset management company. With €1.729 trillion of assets under management (AUM) at the end of 2020, it is, after Allianz, the largest asset manager in Europe and one of the 10 biggest investment managers by AUM in the world.
Who owns Amundi Asset Management?
In legal terms, Amundi Group owns Amundi Asset Management, as well as several other subsidiaries in the asset management sector, notably CPR Asset Management (CPR AM) and BFT Investment Managers (BFT IM) in France.
What is Amundi’s green bond fund?
In March 2018, Amundi joined forces with the International Finance Corporation (a member of the World Bank Group) to launch a green bond focused on emerging market countries. With $1.42 billion of assets at the time of its launch, the vehicle is the largest green bond fund in the world.
What types of UCITS funds does Amundi manage?
Amundi manages a broad range of UCITS funds, which are divided into two main categories: equities ( stock funds) and bonds ( bond funds and money market funds ). In addition to these two product lines, there are two transversal divisions using a “diversified management” approach.