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  • News (1606)
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1820
News
Unlocking Corporate Cash Potential
An actionable framework for Corporate Cash Management: granular segmentation, targeted diversification, MMF choice, stronger governance and tokenisation to boost liquidity resilience and optimise returns.
News
Euro Credit Market Views € - January 2026
At year-start, credit markets remain resilient despite geopolitical risks: spreads only slightly wider and primary issuance strong. Supportive macro, accommodative central banks, solid corporate fundamentals.
News
Euro Credit Market Views € - January 2026
At year-start, credit markets remain resilient despite geopolitical risks: spreads only slightly wider and primary issuance strong. Supportive macro, accommodative central banks, solid corporate fundamentals.
News
Point sur le marché crédit € - Janvier 2026
En début d'année, les marchés de crédit restent résilients malgré les risques géopolitiques : écartements limités, émissions primaires soutenues, fondamentaux solides, politique monétaire accommodante et demande.
News
Euro Credit Market Views € - January 2026
At year-start, credit markets remain resilient despite geopolitical risks: spreads only slightly wider and primary issuance strong. Supportive macro, accommodative central banks, solid corporate fundamentals.
News
Davos 2026: Geopolitical Shifts Reshape Global Agenda
Davos highlights geopolitical swings reshaping supply chains, capital flows and alliances. Experts outline policy shifts, investment risks and corporate strategies to navigate rising competition amid fragmentation.
News
Davos : les développements géopolitiques au centre de l’attention
Davos met en lumière basculements géopolitiques redéfinissant chaînes d'approvisionnement, flux de capitaux et alliances. Experts débattent risques, stratégies d'investissement et réponses politiques.
News
How Tariff Policy and Geopolitical Tensions Drive Market Volatility
Analysis of how geopolitical tensions and tariffs are driving higher market volatility, altering trade flows, supply chains and investor behavior. Covering policy shocks, sector impacts and portfolio adjustments.
News
Géopolitique, droits de douane et volatilité des marchés
Analysis of how geopolitical tensions and tariffs are driving higher market volatility, altering trade flows, supply chains and investor behavior. Covering policy shocks, sector impacts and portfolio adjustments.
News
Who will finance the green transition? Can central banks help?
The challenge for central banks will be to reconcile their narrow monetary policy objectives with maintaining relatively low yields for markets to fund large public and private sector financing requirements.
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Welcome to the Belgian website of Amundi Asset Management

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IMPORTANT LEGAL INFORMATION. PLEASE READ CAREFULLY.

Welcome to the professional website of Amundi Asset Management in Belgium.

Amundi Asset Management is a portfolio management company authorized by the French Securities Regulator “Autorité des Marchés Financiers (AMF)” under registration number GP 04000036 (France) (French ""Société par Actions Simplifiée"" - SAS), having its registered office at 91-93, boulevard Pasteur, 75015 Paris, France. 437 574 452 RCS Paris.

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