Uncertainty is a constant challenge in today’s world, but diversified fund management can smooth investment performance when financial markets get volatile. Architas is a specialist multi-manager, offering investment funds which combine a broad range of asset classes, with a view to achieving this safety net of diversification. With a focus on long term investing, Architas aims to support clients in volatile markets. In addition, Architas is committed to ESG integration within their investment process and demonstrates an ongoing commitment to sustainable investing with the launch of sustainability focussed funds.
Architas is an independent fund manager, but also part of the AXA group, a multinational insurance and investment company with a presence in 50 countries and a long-held belief in sustainable investing. This allows them to take advantage of the size and scale of the AXA group, whilst still being agile to quickly take advantage of opportunities they see. Architas was established in 2008 and, with headquarters in London, now has operations across Europe and Asia. Architas oversees €28.6bn in AUM, helping individuals and institutions to achieve their financial goals through an investment process that’s geared to benefit clients and the wider community over the long term.
The CFI.co judging panel announces Architas as the 2022 award winner for Best Multi-Manager Investment Solutions (Europe).
Nordea Asset Management (NAM) has championed responsible investment for over three decades, beginning in 1988…
SegurCaixa Adeslas, a pre-eminent Spanish health insurance company, has demonstrated a formidable and truly impressive…
Banco BPI's dedication to sustainability is a beacon of proactive environmental and social responsibility. Beyond…
BSE Ltd, formerly known as the Bombay Stock Exchange, is a crucial player in India’s…
TMT Investments Plc, publicly quoted on the AIM market of the London Stock Exchange since…
BNP Paribas Fortis is a key player in the Belgian banking sector with a rich…