News, Comment & Analysis results for Amundi

Investment Strategies
April 2, 2025

Equity Focus Moving Away From US Toward Europe, Asia Over Next Decade – Amundi

European asset manager Amundi has just released its 2025 Capital Market Assumptions (CMA) report,

Investment Strategies
March 19, 2025

Switch From US To European, Chinese Equities To Continue – Amundi

Amundi, a European asset manager, has just shared its insights on the current US policy

Investment Strategies
March 18, 2025

Infrastructure's Momentum Still Strong In Volatile World – BCG

Infrastructure continues to loom large for wealth managers as geopolitics and business imperatives

Investment Strategies
January 9, 2025

European Investment House Enhances Positive Stance On US Equities In 2025

The Amundi Investment Institute, part of European asset manager Amundi, has just released its

Investment Strategies
November 22, 2024

Europe's Amundi Smiles On Emerging Markets In 2025

European asset manager Amundi, one of the world's largest investment houses, has just released its

Fund Management
September 25, 2024

US-Based Dimensional Says Funds Fill Key Gap For Singapore Market

Investors under Singapore's Central Provident Fund system need rates of return that actively

Investment Strategies
July 24, 2024

What Trump 2.0 Might Mean For Economy, Financial Markets – Wealth Managers

After US president Joe Biden withdrew from this year’s presidential race over the weekend and

Strategy
April 23, 2024

Bonds: To Be Or Not To Be? – Natixis IM

Natixis Investment Managers recently held a Thought Leadership Summit in Paris, with its affiliates

Strategy
April 18, 2024

Amundi Smiles On Quality Bonds, EM Over US Equities In Next Decade

Amundi’s 2024 Capital Markets Assumptions, forecasting the next 10 years across 40 different

Strategy
November 7, 2023

Geopolitics Drives Cautious Investment Outlook

Investment managers discuss the macroeconomic outlook and highlight a cautious stance in their

Comment & Analysis results for Amundi