Your European partner for indexing

We provide excellent equity and bond index management by drawing on our extensive experience, comprehensive in-house research and wide knowledge of asset classes and indices.

Index management from one of the leading asset managers

Benefit from the negotiating power of Europe’s No.1 index manager1

Tailor-made solutions designed to meet your needs

Recognised experience in SRI and Smart Beta

Competitive and innovative service offering

01 | Risk control and cost optimisation

Using the significant resources and bargaining power of one of the world’s leading asset managers, our index management team is able to negotiate competitive prices. At each step of the investment process, particular attention is paid to risk, liquidity, transparency and cost optimisation.

 

02 | An SRI approach to index management

Our index management investment process allows us to build in rating constraints in a simple and efficient way. Investors can customise their investment choice depending on their specific requirements to be ethical, low-carbon and/or conform to certain environmental, social and governance (ESG) criteria.

 

 

03 | Your Smart Beta investment partner

We can replicate all types of Smart Beta indexes from any index provider (MSCI, FTSE, ERI Scientific Beta, etc.) using either a mono or multi Smart Beta approach.

Customisation criteria

Information given for illustrative purposes only, may be changed without prior notice.

Expert talk

Valérie Baudson

Valérie Baudson

Head of ETF and Indexing, Amundi

« As investors have constantly evolving and highly specific needs, we are committed to developing our indexing solutions so as to best meet their requirements over the long term. »

1 - No.1 European asset manager based on global assets under management (AUM) and the main headquarters being based in Europe - Source IPE "Top 400 asset managers" published in June 2017 and based on AUM as at December 2016.

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Our solutions do not offer a performance or capital guarantee and present a risk of capital loss