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Amundi Investor Presentation

AuM and inflows by asset class and region Assets under management¹ at 30 September 2021 and 2020 Net inflows by asset class in Q3 2021/2020 and 9M 2021/2020 AuM AuM % chg. Inflows Inflows Inflows Inflows (€bn) 30.09.2021 30.09.2020 /30.09.2020 Q3 2021 Q3 2020 9M 2021 9M 2020 Equities 334 243 37.4% 2.6 3.3 13.1 9.9 Multi-asset 298 251 19.0% 8.5 1.3 26.3 -4.0 Bonds 646 625 3.4% 3.9 -0.9 6.7 -10.2 Real, alternative and structured 5.7% assets 95 90 -0.1 1.0 0.4 3.6 MLT ASSETS excl. JVs 1,373 1,208 13.7% 15.0 4.7 46.5 -0.8 Treasury Products excl. JVs 186 205 -9.4% -2.2 22.0 -37.7 10.7 ASSETS excl. JVs 1,559 1,413 10.3% 12.8 26.7 8.7 9.9 JVs 252 249 1.2% -12.7 8.1 -14.1 20.8 TOTAL 1,811 1,662 8.9% 0.2 34.7 -5.4 30.7 o/w MLT Assets o/w Treasury products 1,595 1,429 11.7% 3.5 15.9 32.0 22.1 216 233 -7.6% -3.3 18.8 -37.3 8.6 Assets under management' at 30 September 2021 and 2020 Net inflows by geographical area in Q3 2021/2020 and 9M 2021/2020 AuM AuM (€bn) 30.09.2021 30.09.2020 % chg. /30.09.2020 Inflows Q3 2021 Inflows Q3 2020 Inflows Inflows 9M 2021 9M 2020 France² 935 892 4.8% 2.2 17.3 -26.1 13.2 Italy 192 171 12.0% 0.8 -0.4 6.8 -2.7 Europe excl. France and Italy 254 201 26.4% 4.7 10.6 16.7 12.1 Asia³ 324 303 6.8% -9.0 8.6 -3.3 14.2 Rest of world4 106 94 12.4% 1.4 -1.3 0.4 -6.1 TOTAL TOTAL excl. France 1,811 876 1,429 537 26.7% 63.3% 0.2 34.7 -5.4 30.7 -2.0 17.4 20.7 17.6 1. Assets under management and inflows including Sabadell AM as of Q3 2020 and Amundi BOC WM as of Q1 2021 include assets under advisory and assets sold and take into account 100% of the inflows and assets under management of the Asian JVs. For Wafa in Morocco, assets are reported on a proportional consolidation basis. 2. Of which €451bn for CA & SG insurers. 3. Including -€4.1bn in outflows from "channel business" products in China in Q3 2021 and a one-off redemption for -€11.6bn in Q3 2021. 4. Mostly the United States. 68 | Amundi Investor Presentation - November 2021 Amundi CRÉDIT AGRICOLE GROUP
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