Amundi Group (Amundi) was created through a merger of Société Générale Asset Management a Crédit Agricole Asset Management on December 31, 2009.
Amundi ranks third in Europe [1] and among the top eight [2] global players in asset management, with more than €675.5 billion [3] (as of June 30, 2010) under management. Located at the heart of the main investment regions in more than 30 countries, Amundi offers a comprehensive range of products covering all asset classes and major currencies.
Amundi develops savings solutions to meet the needs of more than 50 million retail customers worldwide and designs innovative, high-performing products for institutional clients which are tailored specifically to their requirements and risk profile.
Benefiting from the support of two powerful banking groups, Crédit Agricole and Société Générale, Amundi aims to establish itself as the undisputed leader in asset management in Europe, recognised for:
§ the quality of its products, their financial performance and transparency
§ its close relations with customers, partner networks and institutions
§ the efficiency of its organisation, resulting from the individual and collective talents of its teams
§ a commitment to integrate sustainability and social purpose criteria into its investment policies, going beyond financial criteria alone.

[1] IPE Top 400 survey published July 2010, data at 31 December 2009
[2] IPE Top 400 survey published July 2010 , data at 31 December 2009
[3]  Amundi Group figures as at 30 June 2010
 
IKS KB, a company of Amundi Group

www.amundi.com
NOTE: The information stated on these web pages is of an indicative nature and does not serve as an instruction to invest and it does not represent any investment recommendation for a purchase and/or sale of any securities and/or other financial instruments. All data herein shall only be informative and not binding, and they may be updated without any prior warning. The information stated herein has been acquired from the sources, which IKS KB, a. s. considers reliable, however, IKS KB, a.s. shall not be responsible for the completeness, reliability, topicality, and/or accuracy of any all information stated herein and it shall not be responsible for any potential damage/loss, which might be incurred in connection with the information. Prior to any investments, you should verify the information stated herein or contact our employees. Investments in financial instruments are always associated with fluctuations of their price; the return of the resources invested is thus not guaranteed in any way.