Amundi Asset Management

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

Request More Information

Manager Details

28 supplier articles matched your search

Sort By: Newest firstOldest first

  • Indian elections: political continuity is positive but reform is what matters most download

    White papers 29 May 2019

    Prime Minister Modi led the NDA to a sweeping victory, with a full majority in Parliament and therefore significant political capital. There was some apprehension in the market ahead of the election and a clear majority will certainly soothe nerves.

  • H1 2019 - Emerging Markets Charts & Views: Seek opportunities, but be aware of short-term volatility download

    White papers 13 March 2019

    Emerging markets (EM) started 2019 on a strong footing and, as a result, some excessive valuation gaps have been partially closed. Yet, we continue to see opportunities in all EM segments (equity, bonds in hard currency and in local currency) with a medium to long-term view.

  • China more appealing based on progress in trade negotiations download

    White papers 7 February 2019

    The recent statements following the bilateral meetings between the US and China suggest that important progress has been made, and more details are emerging compared to the quiet early January round.

  • Cross Asset Investment Strategy Special Edition: Outlook 2019 weblink

    White papers 6 December 2018

    With late cycle features continuing to materialise and a higher level of vulnerability developing due to the uncertain geopolitical backdrop, 2019 will require investors to embrace a more prudent approach, despite the benign global economic outlook.

  • From G20: Short-Term Relief, But It Is Not The Final Word On Trade Disputes weblink

    White papers 3 December 2018

    The latest G20 demonstrates some temporary progress in the US/China relationship. An increase of tariff rates in January 2019 was put on hold and the possibility for an additional tranche of tariffs for the rest of US imports from China ($267bn) is also further delayed, at least. China has found the right entry point to give some concessions to the US on sensitive topics for President Trump.

  • Global Trade War: Where Do we Stand Now? What Impacts? weblink

    White papers 28 November 2018

    A few days before the important meeting between U.S. President Donald Trump and Chinese leader Xi Jinping, it is important to have a clear view on the trade dispute between the two countries and on the potential impacts of a trade war.

  • Cross Asset Investment Strategy: September 2018 weblink

    White papers 19 September 2018

    Italian budget discussions are going to intensify as the 27th of September approaches, date of publication of the document outlining the new budget law and when there should be more clarity on the key economic projections and deficit targets.

  • 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.

  • China Assets hit by trade talks: what expect from now weblink

    White papers 12 July 2018

    The US-China relationship appears to be deteriorating. US recently published a list of an additional $200bn of Chinese products subject to 10% tariff rates that will be put forward for the public hearing process by 30 August and could possibly be implemented in September.

  • Cross Asset Investment Strategy: July 2018 weblink

    White papers 6 July 2018

    Since the beginning of the year, emerging market risky assets have become more volatile.

  • Cross Asset Investment Strategy: May 2018 weblink

    White papers 7 May 2018

    While in 2017 financial markets largely ignored geopolitical risks, as they were more inclined to read the Goldilocks narrative, this mood now appears to be changing.

  • Cross Asset Investment Strategy: February 2018

    White papers 9 February 2018

    The recent sharp correction of equity markets and the increase in yields which have materialized since the start of the year have created a turbulent phase, interrupting the “Garden of Eden” kind of setting which investors were getting used to.

  • Cross Asset Investment Strategy: January 2018

    White papers 11 January 2018

    Investors have enjoyed a quiet year in 2017, with few bumpier spots, overall record-low volatility and nice returns. Moving into 2018, the temptation for risk assets is still high.

  • Global Investment Views: January 2018

    White papers 5 January 2018

    Investors have enjoyed a quiet year in 2017, with few bumpier spots, overall record-low volatility and nice returns. Moving into 2018, the temptation for risk assets is still high. The economic environment remains strong.

  • Back to long-term investing in the age of geopolitical risk

    White papers 8 December 2017

    A sunny outlook with cloudy skies. That’s how investors see their current investment prospects.

  • CHINA: 19th party congress and beyond

    White papers 20 November 2017

    What are the key takeaways from the 19th Party Congress?

  • Opportunities ahead in Asia EMs, despite increasing geopolitical tensions

    White papers 11 October 2017

    EM Asian economies outlook has been improving and it’s expected to mildly improve further. We closely monitor geopolitical risk in the region.

  • Cross Asset Investment Strategy: July 2017

    White papers 1 August 2017

    FOMC members plan to reduce the Fed’s balance sheet this year and gave recently some precisions about how they will do.

  • Global Investment Views: July 2017

    White papers 1 August 2017

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

  • Palm oil, the environmental dilemma

    White papers 7 July 2017

    Palm oil, used mainly and on a massive scale today by the agri-food and cosmetic industries, is severely criticised.

Results per page: 10 per page20 per page50 per page