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Amundi — Investor Relations & Filings

Ticker · AMUN ISIN · FR0004125920 LEI · 96950010FL2T1TJKR531 PA Financial and insurance activities
Filings indexed 18,802 across all filing types
Latest filing 2022-09-08 Net Asset Value
Country FR France
Listing PA AMUN

About Amundi

http://www.amundi.com

Amundi is a global asset management firm, ranking as a leading asset manager in Europe and among the top 10 worldwide. The company manages over €2 trillion in assets for more than 100 million clients, including retail, institutional, and corporate entities. Amundi provides a comprehensive range of investment solutions and strategies across all major asset classes, such as equities and fixed income. The firm emphasizes responsible and innovative investment approaches, tailoring solutions to client needs and market environments. In addition to its core investment management services, Amundi offers financial services and technology solutions to support investment decisions. The company is also a significant provider of French employee savings schemes.

Recent filings

Filing Released Lang Actions
AMUNDI ETF MSCI UK: Net Asset Value(s)
Net Asset Value Classification · 99% confidence The document explicitly states 'Net Asset Value(s)' and provides a 'DEALING DATE' along with 'NAV PER SHARE' figures for the fund 'AMUNDI ETF MSCI UK'. The metadata indicates the document length is very short (947 chars), and the content is a direct dissemination of this specific financial metric. This aligns perfectly with the definition for Net Asset Value (NAV) updates, which is categorized as Code: NAV.
2022-09-08 English
AMUNDI ETF MSCI SPAIN: Net Asset Value(s)
Net Asset Value Classification · 99% confidence The document explicitly states 'AMUNDI ETF MSCI SPAIN: Net Asset Value(s)' and provides a 'DEALING DATE' along with 'NAV PER SHARE: EUR: 176.373'. This content directly corresponds to the definition of a Net Asset Value update, which is classified under the code NAV. The document is short and contains the core data, not just an announcement of a report.
2022-09-08 English
AMUNDI ETF MSCI SPAIN: Net Asset Value(s)
Net Asset Value Classification · 99% confidence The document explicitly states 'Net Asset Value(s)' multiple times and provides the NAV PER SHARE (EUR: 176.0564) and the DEALING DATE (06/09/2022). The document also contains 'Category Code: NAV' in the metadata table. This directly corresponds to the Net Asset Value (NAV) filing type. The document is short and appears to be a standard daily NAV dissemination.
2022-09-07 English
AMUNDI ETF MSCI BRAZIL: Net Asset Value(s)
Net Asset Value Classification · 99% confidence The document explicitly states 'Net Asset Value(s)' multiple times and provides the NAV per share, dealing date, and fund ISIN. This directly corresponds to the definition for Net Asset Value updates, which has the code NAV. The document is short and contains the core data, not just an announcement of a report.
2022-09-07 English
AMUNDI ETF MSCI NORDIC: Net Asset Value(s)
Net Asset Value Classification · 99% confidence The document explicitly states 'AMUNDI ETF MSCI NORDIC: Net Asset Value(s)' and provides a 'NAV PER SHARE' figure along with the dealing date and number of shares. The ISIN and Category Code 'NAV' further confirm the nature of the filing. This directly corresponds to the Net Asset Value (NAV) filing type.
2022-09-07 English
AMUNDI ETF MSCI UK: Net Asset Value(s)
Net Asset Value Classification · 99% confidence The document explicitly states 'Net Asset Value(s)' and provides a 'NAV PER SHARE' figure along with the 'DEALING DATE' and 'NUMBER OF SHARES IN ISSUE'. The Category Code is also listed as 'NAV'. This directly corresponds to the Net Asset Value (NAV) filing type. The document is short and appears to be a regulatory announcement disseminating this specific data point.
2022-09-07 English

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