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ABN AMRO

Our expertise

Pioneer in multi-asset management for 25 years, ABN AMRO Investment Solutions is the asset management company of the ABN AMRO Bank. With ESG commitment at the heart of its business model, ABN AMRO Investment Solutions offers all its clients exclusive strategies in Europe that combine performance and responsible investment. With €18.5 billion of assets under management (as of 31/12/22) and a range of 40 strategies covering all asset classes and geographical areas, the company is a pure-player in open architecture. Its offer combines a selection of external funds and sub-advisory funds, notably through exclusive partnerships. ABN AMRO Investment Solutions thus provides the European market with unique access to “ESG Originals”, these are best-in-class asset managers and boutiques with responsible investment in their DNA. They have been founded to be responsible management firms.
 
Meeting in office

Multi-management

At ABN AMRO Investment Solutions, multi-management revolves around two activities: Multi-asset portfolio management combines funds of funds, funds of mandates and profiled funds designed for private and institutional clients in France, Netherlands and worldwide. Alternative investment offers a range of absolute performance oriented solutions (non-benchmarked), alternative solution (Hedge Funds and Private Equity) as well as risk budget-constrained solutions.

From concrete objectives to performing solutions:

Pure Strategy
  • Mono asset class solution dedicated to one external manager with one specific investment style
  • Concentrated, high alpha portfolio
  • Single Manager Fund
Asset Class Solution
  • Portfolio invested in one asset class and/or geographical zone
  • Active style allocation over complementary portfolio managers
  • Fund of Mandates
Multi-asset Solution
  • Global asset allocation between various asset classes, investment styles and managers
  • "Target driven" investments
  • Profile Fund
Bespoke Solutions
  • Complying with regulatory or client constraints
  • Multi or mono asset class
  • Bespoke servicing

From concrete objectives to performing solutions:

Pure Strategy

  • Mono asset class solution dedicated to one external manager with one specific investment style
  • Concentrated, high alpha portfolio
  • Single Manager Fund

Asset Class Solution

  • Portfolio invested in one asset class and/or geographical zone
  • Active style allocation over complementary portfolio managers
  • Fund of Mandates

Multi-asset Solution

  • Global asset allocation between various asset classes, investment styles and managers
  • "Target driven" investments
  • Profile Fund

Bespoke Solutions

  • Complying with regulatory or client constraints
  • Multi or mono asset class
  • Bespoke servicing

These solutions offer you:

Quality

Our selected managers have demonstrated their ability to generate outperformance within their specific investment domain.

Serenity

Our experts constantly monitor the selected managers and adjust the allocation towards these managers depending upon market conditions.

Transparency

Information on portfolio composition is available on a daily basis to enable our clients to benefit from consolidated reports.