Responsible Investing

Amundi is committed to promote responsible finance by proposing innovative and solid solutions to answer investors’ expectations in terms of sustainable development.

Key points about Responsible Investing

Act for a better world by supporting companies that are committed for sustainable development

Integrate Environmental, Social and governance criteria into investing decisions

Invest with a long-term view and report on completed commitments

Commitment is fundamental in our management

Responsible Investing is a founding pillar of Amundi. We are convinced that this approach is the best way to generate optimal returns over the long-term.

Our philosophy is to encourage companies to improve their responsible practices in terms of environment, social and governance to contribute positively in the future of our society in line with our clients’ expectations.

Amundi is a key player on the financial markets and we have a wide range of investments solutions, from the traditional to the innovative ones, in all asset classes.

Amundi, a leader in Responsible Investing

1st

worldwide player
in responsible investing1

280

billions euros of responsible
assets under management1

24

dedicated specialists and
 labelled funds in many countries1

1. Source Amundi – as of September 30th, 2018

Our methodology

We mainly focus on two approaches:

Encourage companies that have the best responsible practices today to get more accurate management decisions. Amundi has developed a unique and recognized approach in terms of responsible analysis, certified by AFNOR.

Make our voice heard in general meetings by supporting responsible initiatives in our votes. As proof of our commitment, we participated in 2 540 meetings in 2017, with 32 443 resolutions that have been voted (source Amundi).

Our funds carry a risk of capital loss and do not offer any guarantee of performance or capital security.