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Amundi Alternative & Real Assets

Amundi Alternative & Real Assets brings together Amundi's capabilities in real estate, private debt, private equity, infrastructure, multi-management, and alternative assets. With decades of investment experience, Amundi offers to institutional and retail investors access to an exclusive range of investment solutions in real and alternative assets.

Amundi Alternative & Real Assets manages a portfolio of €69.5 billion1, with a team of circa 280 professionals1 based in our investment hubs in Paris, London, Milan, Luxembourg, Barcelona, Madrid and Dublin. This local footprint enables us to provide a high-quality service to our customers throughout Europe. Thanks to our commitment to excellence and our solid experience, Amundi Alternative & Real Assets is a leading player in private markets’ asset management.
Picto - AuM
€69.5bn Of AuM¹
Picto - Employees
c.280 Employees and partners¹
Picto - Dedicated team - people
Multi-decade Expertise
Picto - Rating
#3 Office Real Estate Manager in Europe²
Picto - Rating
#10 Private Debt Fund Manager Europe³
Picto - Rating
#1 French social impact fund⁴

Capabilities in Real Assets & Alternatives

20 October, 2023
Amundi Alternative and Real Assets - Brochure
International - ARA - Real Estate
Real Estate
International - ARA - Private Debt
Private Debt
International - ARA - Private Equity Header
Private Equity
International - ARA - Infrastructure
Infrastructure and Energy Transition
International - ARA - Private Market Multimanagement
Private Markets Multimanagement
International - ARA- Impact investing - header
Impact Investing
International - Alternative Funds Platform no link

Our approach to Responsible Investment

Responsible investment has been one of Amundi's founding pillars since its creation in 2010. Amundi is convinced that companies and financial actors have a particular responsibility to respond to the major challenges of our time and intends to play an active role in the evolution of our societies towards a more sustainable development model.

As a responsible asset manager, Amundi takes into account environmental, social and governance (ESG) factors in its investment process as well as in its management throughout the holding period.

Amundi Alternative & Real Assets is committed to responsible investment in three areas:

  • Acting for the climate
  • Increasing transparency
  • Aligning the interests of all stakeholders

To learn more about the governance, policy and strategy that guide the integration of ESG criteria in Amundi Alernative Real Assets' investment policy, please consult our charter and the responsible investor report:

4 August, 2023
2022 - Responsible Investor Charter - Real Asset - Amundi
4 August, 2023
2022 - Amundi responsible investor report - Real Asset - Amundi

Discover our assets

International - Amundi Real Assets - Discover our asset

Amundi Alternative & Real Assets manages more than 1,830 assets in 16 countries across Real Estate, Private Debt, Private Equity and Infrastructure.

Discover our assets


1. Source: Amundi as at end of September 2023
2. Source: IPE Real Assets ranking TOP 150 Real Estate Asset Managers published in December 2022 based on June 2022 data.
3. Source: « Alternative Assets in Europe 2021 », report published by Preqin in September 2021.
4. Source: Finansol ranking 2021.



This information is exclusively intended for “Professional” investors within the meaning of the MiFID Directive 2004/39/EC of 21 April 2004, and articles 314-4 and following of the General Regulations of the AMF. It is not intended for the general public or for non-professional individual investors within the meaning of all local regulations, or for “US Persons”, as defined in the Securities and Exchange Commission’s “Regulation S” under the 1933 U.S. Securities Act.

This non-contractual information does not under any circumstances constitute an offer to buy, a solicitation to sell, or advice to invest in financial instruments of Amundi or one of its affiliates (“Amundi”).

Investing involves risks. The performance of the strategies 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.

There is no guarantee that ESG considerations will enhance a fund’s investment strategy or performance.

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.

Amundi assumes no liability, either direct or indirect, resulting from the use of any of the information contained in this document, and shall not under any circumstances be held liable for any decisions taken on the basis of this information.

This information may not be copied, reproduced, modified, translated or distributed, without the prior written approval of Amundi, for any third person or entity in any country or jurisdiction which would subject Amundi or any of its products to any registration requirements within these jurisdictions or where this might be considered unlawful. This information is provided to you based on sources that Amundi considers to be reliable, and it may be modified without prior warning.

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