Amundi Asset Management

2019 Top 400 ranking: 9http://www.amundi.com

Request More Information

Manager Details

13 supplier articles matched your search

Sort By: Newest firstOldest first

  • Central banks in focus: assessing the path ahead for the Fed download

    White papers 31 December 2018

    US economy: We expect the US economy to grow above potential in 2019 and to gradually converge to its long-term growth rate of around 2% in 2020 as the boost provided by fiscal expansion in 2018 will gradually lose steam.

  • Asset Class Return Forecasts: Q3 2018 weblink

    White papers 1 August 2018

    The current global expansion is set to run until 2020, with above potential growth in most countries in 2018 and 2019. However, the global GDP growth has started to decelerate and we expect it to slow further in 2020.

  • Global Investment Views: May 2018 weblink

    White papers 24 April 2018

    Charting an investment path through the fog...

  • Ten key questions on recent US protectionist measures

    White papers 23 March 2018

    On March 22, President Trump announced a new round of tariffs on around $50bln of Chinese imports (leaving Europe off for now) and China unveiled tariffs on $3bln of US imports. This adds to the measures announced on March 8, when US President Trump signed an order that imposes tariffs on imported steel (25%) and aluminum (10%), effective on March 23.

  • The FED and tax reform: what's next for fixed income investors?

    White papers 18 December 2017

    Fed: The FOMC decided to raise the fed funds target range for the third time this year to 1.25-1.50%.

  • Cross Asset Investment Strategy: September 2017

    White papers 19 September 2017

    Find the latest edition of Amundi Research team’s monthly publication.

  • Global Investment Views: July 2017

    White papers 1 August 2017

    CIO views: High conviction ideas from Amundi Global Investment Committee...

  • Cross Asset Investment Strategy: June 2017

    White papers 30 June 2017

    Can global trade, which has declined sharply over the past decade, contribute to accelerating growth with consumption, investment and fiscal and tax policies?

  • Cross Asset Investment Strategy: May 2017

    White papers 5 May 2017

    The purpose of this article is to present the state of affairs on the polls, the priorities of the French and to recall the program of the two candidates as well as the major issues: to obtain a parliamentary majority for E. Macron, to obtain a parliamentary majority and to clarify her position on Europe for Marine Le Pen.

  • Cross Asset Investment Strategy: March 2017

    White papers 15 March 2017

    This month, we present the main issues and scenarios relating to French presidential and legislative elections, as well as the most likely market impacts.

  • Our Convictions: February 2017

    White papers 16 February 2017

    The election of D. Trump to the presidency of the United States had several major consequences on the financial markets...

  • Cross Asset Investment Strategy: January 2017

    White papers 16 January 2017

    As 2017 begins, it is helpful to take stock of the key issues coming into focus.

  • Cross Asset: 2017 and beyond

    White papers 22 November 2016

    In an ultra-low or even negative interest rate environment, maintaining an overweight stance in emerging market assets (equities, debt and currencies), in credit (vs. government bonds) still makes sense, while continuing our search for yield and spreads.

Results per page: 10 per page20 per page