Amundi, European leader of Asset Management. The issuer of this document is Amundi Hong Kong Limited. This document is not intended as an offer or solicitation with respect to the purchase or sale of securities, including shares or units of funds. Jeremy Touboul, Senior Fund Manager and Partner: Starting his career in 2004. Jeremy graduated from the University of Nice with a Bachelor’s Degree in economics. He also holds a Master’s Degree in finance from University of Nice - John Molson School of Business (Concordia University, Montreal). Dynarbitrage Forex 125 Dynarbitrage Forex (USD) 126 Dynarbitrage Forex Asia Pacific 127 Dynarbitrage High Yield 128 Dynarbitrage VaR 4 (EUR) 129 Dynarbitrage VaR 4 (USD) 131 Dynarbitrage Volatility 132 Equity Statistical Arbitrage (EUR) 135 Volatility Euro Equities 137 Volatility World Equities 138 Reserve Euro Reserve 139 USD Reserve 140 Amundi is a French asset management company. With 1,653 billion euros of assets under management (AUM) at the end of 2019, it is the largest asset manager in Europe and one of the 10 biggest investment managers by AUM in the world. Amundi, the leading European asset manager with EUR 1.1 trillion in assets, offers investors exposure to US domestic growth potential with Amundi Funds Wells Fargo US Mid Cap, a sub-fund of its Luxembourg flagship SICAV. amundi sif - global ethical equities issued active 52990035pad7wy2b6619 AMUNDI SIF - UK GOVERNMENT BONDS PLUS RETIRED INACTIVE 529900ET044YO9VW5415 AMUNDI SIF – DYNARBITRAGE FOREX GBP RETIRED INACTIVE 529900F6I5IM9OPI6761
Jeannette Spears - Press relations Phone : +33 (0) 1 76 33 05 74 Fax : + 33 (0) 1 76 32 08 00 Email : jeannette.spears@amundi.com No result match your search criteria United States Of America. Institutional & Corporate. Global Distributor Dynabitrage Forex Plus (USD) / Dynarbitrage High Yield / Dynarbitrage Select / Dynabitrage VaR4 (EUR) / Dynarbitrage VaR4 (USD) / Dynabitrage Volatility / Emerging Markets Debt / Euro 2001 Bond / Euro Select Bond / European Bond / LDI Gilt Plus (GBP) / LDI Index Linked Plus (GBP) / Swiss Franc Bond / Volatility Equities
Amundi - Încrederea se câștiga AMUNDI FUNDS Unaudited semi-annual report For the period from 01/07/10 to 31/12/10 Dynarbitrage Forex Asia Pacific / Dynarbitrage High Yield / Dynarbitrage VaR 4 (EUR) / Dynarbitrage VaR 4 (USD) / Dynarbitrage … AMUNDI BOND GLOBAL AGGREGATE FUND - RM (D) ISIN: MYU9600AF007 AMUNDI BOND GLOBAL AGGREGATE FUND - USD (D) ISIN: MYU9602AB000. Unit Trust / Unit Investment Trust (UIT) - ISIN: … Dynarbitrage Forex 125 Dynarbitrage Forex (USD) 126 Dynarbitrage Forex Asia Pacific 127 Dynarbitrage High Yield 128 Dynarbitrage VaR 4 (EUR) 129 Dynarbitrage VaR 4 (USD) 131 Dynarbitrage Volatility … The information on this website is prepared by Amundi Malaysia Sdn. Bhd. and Amundi Islamic Malaysia SDn. Bhd. (collectively know as "Amundi Malaysia") and reflects, as of the date hereof, the views of Amundi Malaysia (or its applicable affiliate providing the publication) (“Amundi”) and sources believed by Amundi …
Willing to seek out value in the largest scale of fixed income instruments, Amundi has also developed an in-depth expertise in niche strategies such as Forex, ABS and loans. Those, when they are included in core or satellite asset allocations, enhance asset diversification and enable to detect opportunities available in the whole fixed income Amundi provides a range of solutions that meet the fundamental needs of our institutional and corporate investors: security, liquidity, transparency and consistent performance. Amundi - First Half 2019 results Accounting net income of €480m (up +5.6% vs. H1 2018) Growth in-line with targets of 3-year plan United Kingdom, 4/26/19 Amundi, European leader of Asset Management. The issuer of this document is Amundi Hong Kong Limited. This document is not intended as an offer or solicitation with respect to the purchase or sale of securities, including shares or units of funds. Jeremy Touboul, Senior Fund Manager and Partner: Starting his career in 2004. Jeremy graduated from the University of Nice with a Bachelor’s Degree in economics. He also holds a Master’s Degree in finance from University of Nice - John Molson School of Business (Concordia University, Montreal).
1- Source: Calculated by Amundi using data as of end December 2019. The average asset-weighted Total Expense Ratios (TERs) of all Amundi ETF Funds: 0.21%, against global average TER of other European ETFs (incl. the Funds): 0.25% as per ETFGI as of end of December 2019.