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$2.1 Trillion European Asset Manager Amundi Launches Campaign to Introduce Income Strategies for Asia Retail Investors, Fund Strategies Include Yield Enhancement, Dynamic Asset Allocation & Risk Management

18th August 2023 | Hong Kong

European asset manager Amundi with $2.1 trillion AUM (€1.96 trillion) has launched a campaign to introduce income strategies for Asia retail investors, with fund strategies including yield enhancement, dynamic asset allocation & risk management.  1) Enhanced Yield Opportunities: By actively exploring various investment opportunities, including fixed income, dividend-paying stocks, real estate, and alternative assets, the income strategies aim to offer diversification and an enhanced yield potential.  2) Dynamic Asset Allocation: The strategies leverage the expertise of Amundi’s seasoned investment teams to dynamically allocate assets across a wide range of asset classes. This approach aims to optimize returns while managing risk, ensuring a stable income stream for investors. 3) Risk Management: The income strategies incorporate robust risk management practices, combining thorough research, rigorous due diligence, and sophisticated risk assessment models.  More info below.

“ $2.1 Trillion European Asset Manager Amundi Launches Campaign to Introduce Income Strategies for Asia Retail Investors, Fund Strategies Include Yield Enhancement, Dynamic Asset Allocation & Risk Management “

 



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Amundi Launches Campaign to Introduce Income Strategies for Asia Retail Investors

Paris, France

1) Enhanced Yield Opportunities: By actively exploring various investment opportunities, including fixed income, dividend-paying stocks, real estate, and alternative assets, the income strategies aim to offer diversification and an enhanced yield potential.  

2) Dynamic Asset Allocation: The strategies leverage the expertise of Amundi’s seasoned investment teams to dynamically allocate assets across a wide range of asset classes. This approach aims to optimize returns while managing risk, ensuring a stable income stream for investors. 

3) Risk Management: The income strategies incorporate robust risk management practices, combining thorough research, rigorous due diligence, and sophisticated risk assessment models.

 

Amundi

Amundi, the leading European asset manager, ranking among the top 10 global players, offers its 100 million clients – retail, institutional and corporate – a complete range of savings and investment solutions in active and passive management, in traditional or real assets. This offering is enhanced with IT tools and services to cover the entire savings value chain. A subsidiary of the Crédit Agricole group and listed on the stock exchange, Amundi currently manages more than €1.9 trillion of assets.




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