Solutions & Global Asset Allocation
Key features
- Bespoke analyses and value-added solutions, to best manage financial performance, actuarial yield rate, capital gains/provisions, SCR consumption
- Multi-asset and multi-objectives mandates with a global, strategic and tactical allocation
- Incorporating ESG criteria to meet the responsible investment goals of our clients
Our strengths
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European leader
We have been a renowned insurance-related asset manager for 35 years, with €295 billion in multi-objective investment.
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Liability-driven allocation
Our asset allocation managers have strong experience in managing insurers' liability-driven investment, and in selecting investments.
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Unique insurance platform
Our PASS insurance platform offers decision-making support, with innovative modules to develop simulations, projections and real-time monitoring of multiple goals.
*Source: Ostrum AM at end-June 2022. Ostrum AM was created by the separation of Ostrum AM’s fixed-income and equity investment management operations into a separate subsidiary on October 1, 2018 (registered on the Paris Trade and Companies Register under number 329 450 738, previously Natixis AM).
Our investment team
Further Reading
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04/05/2022 views
Contenu chaudThe insurance industry is highly affected by climate change. ESG has become a more global challenge ... -
02/22/2022 views
Contenu chaudGaëlle Malléjac, Head of Portfolio Management for Insurance and ALM Solutions and Joséphine Chevalli ... -
02/11/2022 views
Contenu chaudHow insurers can gain an edge by combining tailored servicing and active investment.