Multi-asset management
To access the growth potential of innovative companies that address the sustainable development challenges identified by our equity and credit strategy, while adapting to the different market configurations, Mirova offers its clients multi-asset management
Multi asset management for financing companies
Our multi-asset strategy targets mainly European companies that contribute to the development of a sustainable economy through their products, services and practices. We invest in these companies in equities and bonds, varying the allocation but ensuring that they maintain a stable capital allocation in a long-term investor approach.
Flexible allocation
Our multi-asset management adjusts the allocation over time according to expectations of changes in the macroeconomic and financial environment. Through our "quantamental" approach, which combines quantitative models and a fundamental approach, this flexibility aims to capture part of the valuation potential of equity markets during upside periods, and to adjust downward in the event of less favourable equity markets, to try and reduce the risk of capital loss.
Our diversified strategy complements and enhances our range of equity and fixed income solutions.
Mirova can count on the skills of experienced managers, experts in their asset classes and pioneers in sustainable investment.
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