As an active long-term investor, we aim to create sustainable value for our clients in a way that also has a positive impact on wider society. We believe that building an inclusive organization will unlock the power of diversity, and by embracing difference, we will achieve better performance and more innovation. For us, striving for inclusion and diversity is not only the right thing to do; it’s the only thing to do.
While investors can approach 2021 with optimism that an effective Covid-19 vaccine will be available, the path of the economic recovery remains unclear. A broader toolkit of investments is needed – not just the regions, sectors and strategies that have recently done well.
We are pleased to introduce The Investment Intelligence Podcast, where experts discuss all things investing, from recent market developments, to strategy, sustainable investing, asset allocation, risk management and more.
Allianz Global Investors is one of the world's leading asset managers with a wide range of alternative investment strategies. AllianzGI offers a wide range of alternative investment strategies, some of which have track-records stretching back for a decade, including equity long/short, merger arbitrage, options trading, commodities, volatility, global macro, absolute return bonds, private debt, infrastructure debt and infrastructure equity. AllianzGI’s alternative investment teams manage over EUR 77bn of assets in alternative investment strategies.*
AllianzGI has over 90 experienced investment professionals working to deliver attractive alternative investment solutions. Our clients can benefit from the global expertise and local market presence of our investment teams.
AllianzGI’s suite of alternative investment solutions provides our clients with access to our alternatives expertise across both publicly traded, private market and real asset strategies.
Local sourcing, global reach and dedicated experts allow structuring of complex transactions and smooth execution.
We believe our highly disciplined, distinctive approach can offer investors flexibility in portfolio construction, enhanced diversification, improved risk/reward metrics and the potential to mitigate losses during market dislocations.