Amundi Real Estate, the dedicated real estate asset management subsidiary of Amundi (No.1 in Europe and one of the top 10 worldwide(1)), specializes in the development, structuring and management of real estate funds focused on the European market. With €40 Billion under Management(2), it is the French Leader in terms of flows and capitalization for SCPIs and OPCIs for the general public(3). Amundi Real Estate relies on a number of distributors to its market products: banking networks, insurance companies, asset management advisors, private banks and online brokers. Amundi Real Estate is also developing a range of asset diversification products (forestry groups, winegrowing groups, etc.).
1. Source: IPE "Top 500 asset managers" published in June 2021 and based on AUM as at December 2020
2. Source: Amundi Real Estate as at June 2021
3. Source: IEIF as at February 2021
4. Source: Amundi Real Estate as at 30/06/2020
This non-contractual information does not under any circumstances constitute an offer to buy, a solicitation to sell, or advice to invest in the UCITS, funds and SICAVs (the “products”) of Amundi or one of its affiliates (“Amundi”).
All the projections, assessments and statistical analyses outlined above are provided with the aim of helping potential investors to understand the topics addressed. These projections, assessments and analyses may be based on subjective estimations and assumptions, and may have been obtained by applying one methodology among other possible methodologies, which may lead to different conclusions. As a result, these projections, assessments and analyses should not be considered as proven facts, and cannot be taken as exact predictions of future events.
Investing involves risks. The performance of the products is not guaranteed. In addition, past performance is not in any way a guarantee or a reliable indicator of current or future performance. Investors may lose all or part of the capital originally invested.
Potential investors are encouraged to consult a professional adviser in order to determine whether such an investment is suitable for their profile and must not base their investment decisions solely on the information contained in this document. All potential investors in the products are advised to ascertain whether such an investment is compatible with the laws to which they are subject and the tax implications of such an investment prior to investing, and to familiarise themselves with the legal documents in force for each product. Subscriptions will only be accepted on the basis of the most recent full Prospectus and Key Investor Information Document (KIID) of the product in question, its most recent annual and half-yearly reports, and its Articles of Association which can be obtained free of charge from the registered office of the management company.
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