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Mirova

Where financial performance meets environmental and social impact.

Mirova manages high conviction, multi-thematic sustainable portfolios, across asset classes in both listed and private markets. The team aims to direct capital toward investments for a real, sustainable, and value-creating economy. 

We aim to invest in companies that are prepared for tomorrow because they offer solutions that are not only positioned for a new world but can also adapt to those changes.”
– Jens Peers, CIO and Portfolio Manager Mirova US
Mirova
Founded
2012
Headquartered
Paris, France
Expertise
Responsible investment solutions
AUM
US $34.5B as of March 31, 2025
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Approach

Mirova uses finance as a tool to meet the challenges of today’s society and accelerate the shift towards a more sustainable model. Across seven asset classes, Mirova builds investment portfolios with the aim to generate financial outperformance and greater sustainability impact than the broad market.

In Singapore, presence of Mirova through a division hosted at Natixis Investment Managers Singapore Limited

1 Until 2014, the Mirova department was part of Ostrum AM, previously Natixis AM. Mirova is an affiliate of Natixis Investment Managers based in Paris. Mirova began to operate in the US (and manage the Global Sustainable Equity Strategy globally) through Ostrum Asset Management U.S., LLC in 2014, and then through Mirova US LLC (a wholly owned subsidiary of Mirova as of March 28, 2019).

2 On the 20th June 2022, Mirova annoounced the acquisition of SunFunder, a private debt management company that finances renewable energy projects in Africa and Asia. 

Asset class focus

Equities

Mirova’s approach focuses on companies well positioned to benefit from long-term economic themes and contribute to sustainable development. By identifying and allocating capital in growing sectors and industries that are shaping the future, Mirova aims to deliver compelling long-term performance for investors.

Impact private equity

Mirova believes private equity investors can accelerate companies that provide innovative solutions to environmental and societal challenges. Their impact private equity strategies combine financial returns with sustainable development by deploying "acceleration capital" to support sustainable companies and address major growth trends.

Fixed income

Mirova is a pioneer of green and social bond investing. Its fixed income strategies, which cover the eurozone and the world, place the selection of issuers at the heart of their investment process to generate financial performance and environmental and social impact.

Energy transition infrastructure

Mirova develops investment strategies enabling investors to support the energy transition through the construction and management of renewable energy production, storage, and clean mobility infrastructures projects worldwide.

Multi-asset

To access the growth potential of innovative companies addressing sustainable development challenges identified by its equity and credit strategy, Mirova provides clients with a flexible multi-asset management approach tailored to various market conditions.

Natural capital

Mirova’s Natural Capital investment platform develops innovative investment solutions, through the financing of activities addressing major global environmental challenges, related to natural resources, with the aim to deliver the highest social, environmental, and economic performance.

Social impact investing

The purpose of this management is to finance the actors of the social and solidarity economy (SSE) and more broadly, to support entrepreneurs developing solutions that offer environmental and social impact.

Firm at a glance

7

Capabilities

240+

Multidisciplinary experts

2°C

Targeted global warming scenario for all portfolios

Funds

MGGYX
Mirova Global Green Bond Fund
Actively managed fund that pursues sustainable long-term returns from bonds issued to finance projects with positive environmental impact.
ESGYX
Mirova Global Megatrends Fund
A high-conviction, multi-thematic world stock fund that fully integrates ESG considerations throughout the process to manage risk and generate competitive long-term returns.
MRVYX
Mirova International Megatrends Fund
A high-conviction, multi-thematic international stock fund that fully integrates ESG considerations throughout the process to manage risk and generate competitive long-term returns.

Got questions?

Learn more about our affiliate asset managers or a specific investment strategy.

Assets under management (AUM) as of March 31, 2025. AUM, as reported, may include notional assets, assets serviced, gross assets, assets of minority-owned affiliated entities and other types of nonregulatory AUM managed or serviced by firms affiliated with Natixis Investment Managers.

* Operated in the U.S. through Mirova U.S., LLC (Mirova US). Mirova US had $12.0B / €11.6B / £9.6B assets as of December 31, 2024.

NIM-05222025-osouvfte