Multi-asset

Bespoke multi-asset management offering a variety of solutions for investors

Ostrum Asset Management is a leading player in Europe, with proven expertise over the past 40 years and a commitment to institutional investors including insurers and distributors. 
The size of our assets, and the large human and technological resources at our disposal, position us as a leading partner in customised solutions, particularly in multi-asset management.
Our multi-asset approach allows us to customise investment universes and styles according to each investor's objectives. Our offering spans a variety of investment processes and styles, a depth of investment universes, and a wide variety of underlying assets.

  • Fundamental Multi-asset management

Drawing on our fundamental macroeconomic views and market analysis, we implement multi-asset solutions by combining the expertise of Ostrum Asset Management and the Natixis Investment Managers Group. Our approach incorporates each client's objectives - financial and non-financial - through bespoke direct management or multi-manager strategies. 

  • Insurance-type multi-asset fundamental management

For investors with liability constraints, accounting and regulatory guidelines, Ostrum Asset Management offers an insurance-type multi-asset expertise that fully integrates all objectives.


More information:

  • Quantitative Multi-asset management

Open-ended funds and dedicated solutions seeking to capitalise on diversification resulting from a dynamic asset allocation over a global investment universe of rates, equities and currencies, with the objective of optimising the return/risk profile. These strategies use quantitative models to allocate and optimise portfolios.

  • strategy

    Diversity of investment processes

    Benchmarké Total/Absolute Return Integration of each investor's ESG objectives

  • idea

    Profondeur des univers d’investissement

    Geographical areas: Euro, Europe, US, World, Emerging Asset classes: Rates, equities, real assets, diversification (UCIs/ETF), cash

  • quantamental

    Variety of underlyings

    Securities, Natixis Investment Managers Group’s Funds or open architecture, ETFs, derivatives, currencies

  • Xavier Audoli
    Xavier Audoli

    Director of Insurance & Institutional Management

  • Franck Trividick
    Franck Trividick

    Head of Quantitative Multi-Asset Management