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Solid range
We offer a comprehensive range of euro and US dollar money market funds aiming to address investors’ needs: liquidity, transparency, security and performance consistency . With an investment horizon of 1 day, 1 month, 6 months or more.
Establish a broad “net-zero” offering
Expand impact investment solutions, reaching €20bn of assets in impact strategies
Enlarge RI in passive management, 40% of ETF range will be ESG ETF
Provide clients with access to cutting edge sustainability analytics through ALTO Sustainability
Tailor-made solutions
Divest from unconventional hydrocarbons by 2022*
We provide customised solutions which take into account investors’ specific investments objectives and guidelines such as advisory, partnership and dynamic approach.
Disciplined investment process
Capture shareholders’ opinions on Amundi’s climate strategy
Reduction of Amundi’s operational emissions by -30% per employee
Our philosophy is based on a conservative approach. Our standards are reflected in our unwavering search of investment security. We follow structured and disciplined investment processes to maximize the performance of funds according to security constraints.
“Our new “ESG Plan 2025” is even more demanding and aims to align all of our stakeholders: investors, companies, employees and shareholders. The acceleration of our ESG commitments will be Amundi's primary growth lever around the world.”
Valérie Baudson
Chief Executive Officer of Amundi
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Risk management as a key priority
Divest from unconventional hydrocarbons by 2022*
Risk management is at the heart of our investment process. We focus on quality risk management limiting risk all along our management value chain.
ESG
Capture shareholders’ opinions on Amundi’s climate strategy
Reduction of Amundi’s operational emissions by -30% per employee
We rely on a rigorous ESG analysis of companies in which Amundi invests and in a committed voting policy. All our funds comply with SFDR’s article 8 or 9 and are labelled by independent organisations.
Quality risk management
Divest from unconventional hydrocarbons by 2022*
We focus on strong quality risk management with limiting risk along the entire value creation chain.
Experienced team
Divest from unconventional hydrocarbons by 2022*
Our experienced investment teams are fully supported by talented in-house resources composed of strategists, economists, analysts, traders, risk managers, investment specialists, ESG experts, etc.
Experienced team
Capture shareholders’ opinions on Amundi’s climate strategy
Reduction of Amundi’s operational emissions by -30% per employee
A lower risk return environment compared to history will call for greater allocation towards Emerging Markets and increased diversification into real and alternative assets
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