Natixis Global Asset Management serves thoughtful investment professionals with more insightful ways to understand and manage risk. Through our Durable Portfolio Construction® approach, we help them construct more strategic portfolios that seek to produce better outcomes in today’s unpredictable markets. We draw from deep investor and industry insights and partner closely with our clients to put objective data behind the discussion.
Natixis is ranked among the world’s largest asset management firms.1 Uniting over 20 specialized investment managers globally, Natixis has over $950 billion AUM2, we bring a diverse range of solutions tailored to meet every strategic challenge. From insight to action, Natixis helps our clients better serve their own with more durable portfolios.
Resources from Natixis Asset Management:
- ESG Investing and Fiduciary Concerns
- Third Generation of ESG Investing Offers More Opportunity
- Mind Shift: Getting Past the Screens of Responsible Investing
- Application of ESG Factors: Data as Tools for Investing in Sustainable Businesses
- Green Bond Principles
- The History of Climate Change
- What is Sustainability? Understanding a Simple Term
1 Cerulli Quantitative Update: Global Markets 2016 ranked Natixis Global Asset Management, S.A. as the 16th largest asset manager in the world based on assets under management as of December 31, 2015.
2 Net asset value as of June 30, 2017. Assets under management (AUM) may include assets for which non-regulatory AUM services are provided. Non-regulatory AUM includes assets which do not fall within the SEC’s definition of ‘regulatory AUM’ in Form ADV, Part 1.