IN THE HEADLINES
Asset Class Return Forecasts - Q2 - 2020
In our latest analysis released at the beginning of the year, we had laid out our medium-term outlook as a correction of the business cycle, including an economic slowdown, yield curve inversion, a return to lower bound policy rates, and subdued inflation prints.
The day after #3 - ESG Resilience During the Covid Crisis: Is Green the New Gold?
On 23 February 2020, when Italy announced the Lombardy lockdown, and then on 11 March 2020, when the World Health Organization classified Covid-19 as a pandemic, what started as an emerging disease in China in a few weeks turned into one of the most serious health crises ever known. Equity markets across all financial centres plunged.
ESG & Factor Investing: a new stage has been reached
ESG Investing is evolving extremely rapidly, in Europe and abroad. The importance of taking into account environmental, social and governance factors in investment decisions has become more acute with the coronavirus. Past Amundi research has underlined that ESG integration has been a driver of alpha since 2014.
The day after #5 - New Frontiers for Central Banks
Trajectory Monitoring in Portfolio Management and Issuer Intentionality Scoring
Cross Asset Investment Strategy - June 2020
The day after #4 - Inequality in the context of the Covid-19 crisis
Global Investment Views - June 2020
Focus on Italy: macroeconomic and fixed income scenario
Global Investment centre with a local presence
Amundi Singapore was established in 1989.Today, it has developed into a key investment centre within the Amundi Group. It is also an important business development and operational hub covering 15 countries in South East Asia, Australia and New Zealand. We have a clear understanding of the investment and service requirements of the region’s investors and we offer a global range of investment solutions to meet their diverse needs.
Access companies’ growth potential through our expertise in equity management
Access the various opportunities in the fixed income market
Capitalise on market opportunities with multi-asset strategy
Thematic investing seeks to identify structural trends which are able to generate long-term growth.
Acting as a responsible financial institution is a core commitment in Amundi's development strategy.
Global Scope, Local Roots
Amundi is Europe’s largest asset manager by assets under management and ranks in the top 102 globally.
Amundi manages 1.527 trillion1 euros of assets across six main investment hubs3. Amundi offers its clients in Europe, Asia-Pacific, the Middle East and the Americas a wealth of market expertise and a full range of capabilities across the active, passive and real assets investment universes. Clients also have access to a complete set of services and tools. Headquartered in Paris, Amundi was listed in November 2015.
Thanks to its unique research capabilities and the skills of close to 4,500 team members and market experts based in 37 countries, Amundi provides retail, institutional and corporate clients with innovative investment strategies and solutions tailored to their needs, targeted outcomes and risk profiles.
1. Amundi figures as of March 31, 2020
2. Source IPE "Top 400 asset managers” published in June 2019 and based on AUM as of December 2018
3. Investment hubs: Boston, Dublin, London, Milan, Paris, and Tokyo