No one can predict the unpredictable but investors can try to be well prepared. A flexible and active investment approach can help investors prepare for extreme events and benefit from any upside.

Given the high element of uncertainty prevailing across political and economic fronts, investors looking to diversify their core strategy should adopt an agile and flexible approach that can exploit market dislocations and mispriced assets and tap value wherever it exists.

Amundi Funds Pioneer US Bond

An Opportunistic Core fixed income strategy investing in a wide range of global fixed income sectors with the goal of achieving competitive returns as compared to a traditional higher-quality U.S. core fixed-income portfolio - but without excessive additional volatility.

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Amundi Funds Global Aggregate Bond

Seeks the best investment opportunities across global, government bond, corporate credit, emerging markets, and currency markets through an active and flexible approach.

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Extracting Value in a Diversified Universe

An active approach that seeks excess returns by exploiting inefficiencies in and across major asset classes

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Amundi Funds Euro Aggregate Bond

Optimising the return potential across both government and credit markets. The Flexible approach aims to generate performance regardless of marketing conditions.

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