Through the launch of the corporate focused EM Green Bonds strategy, Amundi has been establishing its leadership in this asset class and confirming its commitment to support sustainable fixed income markets.
As one of the first solutions available, this strategy provides funding to potentially create positive impact towards the transition to a low-carbon environment in Emerging countries.
Combined benefits of impact investing, attractive yield potential and limited duration risk offer unique investment opportunities to investors on EM green bonds markets.
How to finance the recovery post-Covid -19 crisis and long-term inclusive growth ?
In line with our commitment to supporting new sustainable fixed income markets, Amundi has developed its first Social Bond Strategy, which aims at directing investments towards projects addressing social issues or targeting positive social outcomes by investing in social bonds.
Through this strategy, Amundi and its investors will support the expansion of the nascent social bond market, which has experienced a very strong uptick during the Covid-19 crisis and has proven its financing capabilities for both the recovery and inclusive growth in the long term.
Amundi has built a unique solution for an inclusive transition in line with the Paris Agreement.
This strategy supporting the transition to a low-carbon economy monitors a full range of climate-related risks…
Physical and transition risks
…ensuring that the portfolio is aligned with a transition to a 2 degree world, and working towards 1.5 degrees.
How to capture the potential premium of companies on an improving ESG trajectory?
The “ESG Improvers” is a new philosophy aiming to deliver additional Alpha by employing a dynamic approach to ESG with a forward looking perspective, seeking tomorrow’s ESG winners.
Today, Amundi offers one of the first solutions available on the market favoring this new ESG approach across a wide range of asset classes.
Responsible offering and capabilities
Responsible Investment Solution
ESG Improvers brochures
Responsible offering and capabilities
Amundi Responsible Investment offering alonside the value chain.
Advisory : Guiding investors in navigating ESG
Whether it be to generate a positive impact, to align your portfolio with ESG or climate target objectives, or anticipate material ESG-related risks, our team of ESG experts is committed to supporting investors in meeting their ESG objectives while respecting their specific constraints.
ESG Investment Solutions
Amundi investment teams have developed specific expertises to assist our clients in achieving their specific ESG investment objectives by offering a wide range of ESG investment solutions span across asset classes and regions, from broad ESG Integration to specific themes.
Long-Standing player in ESG integration
Amundi, a pioneer in Responsible Investment (RI), has continuously strengthened its ambition to integrate Environmental, Social and Governance (ESG) criteria through its investment strategies and to reinforce its engagement process to support issuers in making progress.
Since the announcement of its ambitious action plan in 2018, Amundi has established an unprecedented level of ESG integration throughout the organisation. To this end, Amundi has committed to integrating ESG criteria across the entire portfolio management value chain, notably through:
The systematic integration of ESG criteria within the active investment & portfolio construction process.
The strengthening of dialogue with corporates on ESG topics through a pro-active engagement policy.
A voting policy emphasizing Environmental and Social dimensions as top priorities.
As part of our “ESG Mainstreaming” approach, all our open-ended funds include:
An environmental, social and governance assessment of the companies in which they invest,
The most highly rated companies are favoured, while the lowest-rated companies remain under-weighted, or even excluded,
With the objective to have a portfolio ESG rating above that of the benchmark or the investment universe.
Selecting the issuers with the best ESG practices within each sector:
Exclusion of issuers rated E, F, G*
Average ESG rating of the portfolio ≥ ESG rating of the benchmark/investment universe
Average ESG rating of the portfolio ≥ C
Minimum 90% of issuers in the portfolio rated in terms of ESG
Investment solutions :
Implementing a complementary risk-based ESG approach.
Seeking to enhance value creation potential through the selection of appropriate criteria combinations.
Detecting and investing in companies with ESG momentum, which benefit from:
A solid fundamental investment case and
An improving ESG profile.
The investment teams aim to:
Deliver additional alpha by employing a dynamic approach to ESG with a forward looking perspective.
Passive ESG solutions, including:
A large range of ETF & index funds
Covering theme in geographies & asset classes based on various index methodologies allowing investors to choose among various degrees of sustainability profiles.
ESG certified and labelled funds
There is no one-size-fits-all approach to responsible investing and as a solutions provider, we are committed to developing simple and ready to-use tools to help investors easily implement their ESG strategy depending on their objectives, constraints and the level of ESG focus they wish to implement in their portfolios.
In addition, the expertise of our index team and our proprietary index management tools allow us to develop fully bespoke solutions for our clients aimed at deploying their individual ESG policies.
An expanded range to address investor's various sustainability objectives
To complete our large range of advisory services and investment solutions, we provide our clients with ESG services that can reinforce their commitment to a more sustainable future. To do so, we offer three types of services:
Engagement and voting: At Amundi, we have defined an engagement and voting policy that we apply to our assets under management. We believe our role is to engage with issuers to allow for constant improvement and awareness of ESG-related topics through dialogue or voting at general assemblies.
Reporting: As clients need to monitor their financial and ESG guidelines and report the results of their investments, we offer different types of reporting according to the client’s underlying strategy and ESG policy.
ESG Training & Knowledge Transfer: ESG investing is evolving at a fast pace and Amundi is committed to disseminating best practices, research and thought-leadership through content sharing, high level conferences and training programs.
Standard ESG services are included with Responsible Investment portfolio management when relevant.
Engagement & Voting
Reporting tailored to client's ESG objectives
ESG Training and Knowledge Transfer
Responsible investing passive solutions
Amundi rated A+ in 2020 for the sixth consecutive year for its responsible investment approach*
Environmental Finance Green Bond fund of the Year in 2020, GRECO**
Environmental Finance Personality of the Year 2021, Isabelle Vic-Philippe
Personality of the Year in 2021, Isabelle Vic-Philippe
Best ESG Investment Fund - Emerging Markets Debt in 2021 for AF emerging Market Green Bonds
Best ESG Investment Fund - Climate / Green Bonds in 2021, for AIIB Climate Bond Portfolio
Best ESG ETF Provider in 2021
Fixed Income Manager of the Year in 2021
Best ESG Strategy Adviser in 2021
Bring the fight against climate change accessible to all investors.
This information is exclusively intended for “Professional” investors within the meaning of the MiFID Directive 2004/39/EC of 21 April 2004, and articles 314-4 and following of the General Regulations of the AMF. It is not intended for the general public or for non-professional individual investors within the meaning of all local regulations, or for “US Persons”, as defined in the Securities and Exchange Commission’s “Regulation S” under the 1933 U.S. Securities Act.
This non-contractual information does not under any circumstances constitute an offer to buy, a solicitation to sell, or advice to invest in financial instruments of Amundi or one of its affiliates (“Amundi”).
Investing involves risks. The performance of the strategies is not guaranteed. In addition, past performance is not in any way a guarantee or a reliable indicator of current or future performance. Investors may lose all or part of the capital originally invested.
Potential investors are encouraged to consult a professional adviser in order to determine whether such an investment is suitable for their profile and must not base their investment decisions solely on the information contained in this document.
Amundi assumes no liability, either direct or indirect, resulting from the use of any of the information contained in this document, and shall not under any circumstances be held liable for any decisions taken on the basis of this information. This information may not be copied, reproduced, modified, translated or distributed, without the prior written approval of Amundi, for any third person or entity in any country or jurisdiction which would subject Amundi or any of its products to any registration requirements within these jurisdictions or where this might be considered unlawful.
This information is provided to you based on sources that Amundi considers to be reliable, and it may be modified without prior warning.