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Allianz Global Investors is a leading active asset manager with over 600 investment professionals in over 20 offices worldwide and managing EUR 521 billion in assets. We invest for the long term and seek to generate value for clients every step of the way. We do this by being active – in how we partner with clients and anticipate their changing needs, and build solutions based on capabilities across public and private markets. Our focus on protecting and enhancing our clients' assets leads naturally to a commitment to sustainability to drive positive change. Our goal is to elevate the investment experience for clients, whatever their location or objectives.
Active is: Allianz Global Investor*Data as at 30 September 2022. Total assets under management are assets or securities portfolios, valued at current market value, for which Allianz Asset Management companies are responsible vis-á-vis clients for providing discretionary investment management decisions and portfolio management, either directly or via a sub-advisor. This excludes assets for which Allianz Asset Management companies are primarily responsible for administrative services only. Assets under management are managed on behalf of third parties as well as on behalf of the Allianz Group.
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BNP Paribas Asset Management ('BNPP AM') is the investment arm of BNP Paribas, a leading banking group in Europe with international reach. BNPP AM aims to generate long-term sustainable investment returns for its clients, based on a unique sustainability-driven philosophy. BNPP AM's investment capabilities are focused around five key strategies: High Conviction Strategies, Private Debt & Real Assets, Multi-Asset, Quantitative & Solutions (MAQS), Emerging Markets and Liquidity Solutions, with investment processes incorporating quantitative and fundamental analysis.
Sustainability is embedded within BNPP AM's strategy and investment decision-making. Among the leaders in thematic investment in Europe, BNPP AM contributes to the energy transition, environmental sustainability and the promotion of equality and inclusive growth. BNPP AM currently manages EUR 501 billion of assets (EUR 621 billion of assets under management & advisory) and benefits from the expertise of around 500 investment professionals and around 400 client servicing specialists, serving individual, corporate and institutional clients in 67 countries.
Source: BNPP AM, as at 31 December 2022
For more information please visit bnpparibas-am.com, our newsroom or follow us on ViewPoint, Twitter, LinkedIn and Youtube.
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Invesco is a global independent investment management firm dedicated to delivering an investment experience that helps people get more out of life. With investment professionals located in over 25 countries worldwide, our specialized investment teams manage US$1.4 trillion in assets across a wide range of asset classes and investment styles (as at 31 December, 2022).
With a deep understanding of the insurance sector, the Invesco Insurance Investment Solutions team develops customized solutions for our clients to optimize investment returns. We work with policyholders and shareholders under specific insurance constraints to address liabilities, accounting earnings, regulatory capital and risk management. Our fully integrated insurance solutions platform includes specialized investment and solutions teams to provide bespoke analysis, and a dedicated client relationship team.
For more information please visit: https://www.invesco.com/uk/en/institutional/clients/insurance-companies.html.
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Schroders manages over £150 billion of assets for insurance clients globally, including large life insurance companies, financial mutuals, general insurers and Lloyd's syndicates (as at 31 June 2022). We work with our insurance clients in a range of different ways - from key pooled vehicle sales across asset classes to fully bespoke models including Strategic Asset Allocation and actuarial support. A trusted adviser to insurance companies, Schroders Insurance Asset Management has the experience, flexibility and insurance domain knowledge and flexibility to deliver you tailored and innovative solutions within a dynamic investment and regulatory landscape.
Globally, we are responsible for £737.5 billion*of assets for our clients who trust us to deliver sustainable returns (as at 31 December 2022). We actively and responsibly manage investments for a wide range of institutions and individuals, to help them meet their financial goals as they change over time. The world is forever changing but throughout our long history we have continued to adapt our business, keeping our focus on what matters most to our clients, today and in the future.
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Swiss Life Asset Managers is a leading European asset manager and institutional real estate asset manager with locations in Switzerland, France, Germany, Luxembourg, the UK and Norway. We think long term and act responsibly. Drawing on our knowledge and experience of over 165 years in risk management, we develop future-oriented investment solutions. That includes the provision and active management of a broad range of investment solutions in the fixed income, real estate, equity, infrastructure and multi-asset investment classes. As at 31 December 2022 assets under management for third-party clients amount to CHF 105.4 billion. Together with insurance mandates for the Swiss Life Group, total assets under management at Swiss Life Asset Managers stood at CHF 250.1 billion.
Contact us: Contact person – Swiss Life Asset Managers (swisslife-am.com)
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GRESB is an independent organization providing validated ESG performance data and peer benchmarks for investors and managers to improve business intelligence, industry engagement and decision-making.