Amundi is a European leader in asset management, managing money for over 200 million clients worldwide, including savers, investors, wealth managers, and institutions. They aim to help clients meet their financial goals by working in their interest and for society. Amundi prioritizes building investment solutions adapted to client needs and the market environment, offering expert advice, a comprehensive range of active and passive capabilities, innovative services, and cutting-edge technological solutions. They emphasize responsible investment and have built the largest responsible investment offer. Founded in 2010 from the merger of the asset management arms of Crédit Agricole and Société Générale, Amundi has grown into one of the top 10 global asset managers while maintaining its European roots. They serve a diverse clientele, including individual and institutional investors, corporates, banking networks, and wealth managers. Their key figures include €2,380 billion in assets under management, more than 200 million clients, a top 10 global asset manager ranking, and the highest market capitalization in Europe among traditional asset managers. Amundi's investment strategy seems to encompass a wide range of asset classes and investment styles, including both active and passive management. The firm's focus on responsible investment suggests a commitment to incorporating environmental, social, and governance (ESG) factors into their investment decisions. They cater to various client segments by tailoring investment solutions to specific needs and market conditions. Furthermore, they leverage technology to provide innovative services and cutting-edge solutions.
Preferred startup development maturity for initial funding deployment.
Active and passive capabilities, responsible investment, ETFs, Alternative and Real Assets
Core thematic spaces, technologies, and target market segments of interest.
Standard financial allocation per investment round.
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