- A strong performance across all asset classes
- Significant international growth and broad investor support
- A strategy based on diversification and the development of thematic expertise
In 2024, Groupama Asset Management achieved a record net inflow of €3.5 billion, underscoring the relevance of its diversification strategy and its asset management expertise. This remarkable performance is reflected in both positive momentum across all asset classes and strong international expansion.
In France and abroad, the company successfully captured investor interest, achieving historic inflows across multiple segments.
This growth was driven by strong demand for bond funds, particularly credit and interest rate strategies, as well as for money market funds benefiting from a favorable environment. Additionally, in an equity market generally facing outflows, Groupama Asset Management maintained positive momentum through its thematic funds.
Groupama Asset Management's growth was especially evident on the international stage, with nearly €2 billion collected in Spain, Italy, and other regions. Furthermore, all client segments contributed to this dynamic, with institutional investors bringing in €1.4 billion and distributors generating €2.2 billion in inflows.