Announcements
- Seeyond: 2 Billion Euros of AuM Awarded with the French SRI Label
- Sanctions / Restrictions Against Russia
- Natixis Investment Managers and Natixis CIB Renew and Extend Partnership with Paris Opera until 2024
- Natixis Investment Managers and H2O Asset Management finalize their agreement on the unwinding of their partnership
- Groupe BPCE Donates €5 Million to Support Humanitarian Relief in Ukraine
Spotlight

Amid unrest on multiple fronts, Loomis, Sayles & Company’s Matt Eagan, CFA® sheds light on geopolitical shifts with likely impact on investors.

Thematics Asset Management’s Sam Richmond-Brown explains what a differentiated investment opportunity in thematic equity really looks like.

Mirova Portfolio Manager Amber Fairbanks discusses ESG-related innovation, opportunities, risk considerations, evolving regulations, and more.
Market Volatility & Russia-Ukraine Crisis
Consequences of Russia's invasion of Ukraine are analyzed by portfolio managers, strategists, and government policy specialists.

Let's Talk ESG
Developing the right strategy starts with understanding what ESG means to our clients. Discover how ESG factors can play a meaningful role in uncovering opportunities, identifying potential risks, and generating competitive returns for investors.

Loomis Sayles Growth Equity Investing: A Long-Term Approach to Alpha Generation
A look at the differentiated approach Loomis Sayles’ Growth Equity team takes to pursue superior risk-adjusted returns.

Thematics Asset Management
Our thematic equity investments offer global exposure and track disruptive secular growth themes including safety, water, and AI and robotics.

Actively Pursue Growth in Equity Markets Worldwide: WCM Investment Management
Carefully selecting stocks of global and emerging market companies with growing competitive advantages and superior corporate culture drives results WCM Investment Management believes.
Our Approach
Specialized consultants work with investment professionals who seek a deeper level of insight to build smarter portfolios, using sophisticated analytic tools to identify and quantify sources of risk and return.
In-depth analysis of investor sentiment, macroeconomics, portfolio construction and key trends shaping the future of investing.