eagle
Mirova Global Sustainable Equity fund
Adopting a multi-thematic approach to global equity investing, seeking to find tomorrow’s winners today
Managing market volatility
Managing market volatility
Why it’s ok to invest with uncertainty. From geopolitical shifts to central bank rate-setting, uncertainty is everywhere
About us
Liquidity solutions

Move when you want to

Liquidity solutions designed for dynamic markets

Liquidity

The world is complex, finding the right cash management solution shouldn’t be. Whether you are looking for money market funds, short term exposure or something altogether more flexible, we believe we have the solution that will give you the liquidity you need without having to compromise on your long-term return objectives.

Snapshot

Deep, active experience

Scale

Varied product set

Reasons to invest

From managers that have navigated every credit cycle since the great depression to risk-focused insurance experts, our affiliates have active experience where you need it most

OSTRUM

With over 50Bn EUR in Money market AUM, mainly for institutions and insurers, Ostrum takes an active and conviction-based approach with focus on minimising volatility.

Fundamental credit analyses are conducted by a large team of 23 credit analysts covering over 1,200 issuers worldwide and each selected issuer must meet "high credit quality" criteria.

Ostrum Asset Management is a leading asset manager in Europe providing institutional clients high-quality fixed income, equity, multi-asset and insurance investment strategies with an active ESG approach.

Ossiam has a strong experience in synthetic replication and an open architecture model designed to optimize implementation of strategies across a variety of instruments. The firm has an extensive network of approved swap counterparties and a flexible approach to meet both liquidity and diversification objectives.

Experts in quantitative and systematic investing.

Whether you are looking for pure sovereign exposure, exposure to the Euro bond market, or dedicated sustainable strategies,  our affiliates have deep experience at the 1 – 3 year end of the yield curve

Ostrum Asset Management is a leading asset manager in Europe providing institutional clients high-quality fixed income, equity, multi-asset and insurance investment strategies with an active ESG approach.
Performance-driven investment strategies backed by deep proprietary research and a system of integrated risk analysis.

DNCA takes a risk-focused, wealth management approach to fixed income that puts risk considerations at the centre of its process. 

Investing with conviction.

Founded in 1926, Loomis Sayles has been actively invested in fixed  income markets for almost a century. Unified by a common six pillar investment philosophy and powered by proprietary research and infrastructure, the firm brings unparalleled depth and experience to the emerging markets debt market. 

Performance-driven investment strategies backed by deep proprietary research and a system of integrated risk analysis.

Interested in finding out more?

Discuss with your financial advisor or connect with our distributors.
Fixed Income

Explore fixed income investing

Find the fixed income investment manager that best fits your needs