Swiss Life Asset Managers actively manages a wide range of Securities investment solutions: fixed income, credit and money market, equities, asset allocation and also private and infra-debt. In France, the portfolio management teams provide their experience in funds and mandates for institutional and corporate investors.

Our Asset Classes

Fixed income, Bond and Money Market
Swiss Life Asset Managers' historic know-how, inherited from its long experience in the group insurance companies, fixed income and bond management covers most market segments: money market, variable rates, credit bonds, high yield, inflation and emerging debt

Multi-asset allocation
Recognised for its risk/return approach, Swiss Life Asset Managers' multi-asset allocation and management expertise is implemented through a range of profiled funds and mandates invested in funds or directly according to an investment process supported by quantitative models.

Swiss Life Asset Managers offers investors a two-fold range of equity expertise: active quantitative for better performance over time by reducing volatility relative to the market, and "quant" with thematic impact funds, particularly environmental and climate funds.

Infra Debt and Senior Loans
In private debt, loans and infrastructure debt, Swiss Life Asset Managers creates large funds for Swiss Life and its third-party clients (over €6bn by 2021). The strategy offers strong value, based on total alignment of interests. In infrastructure debt, the objective is to deploy €1.5bn in senior loans and bonds over the next 4 years and to open its fund to third party investors.

Nos solutions d'investissement - Swiss Life Asset Managers

Our investment solutions

Looking for a fund? We provide you with a comprehensive suite of investment solutions that cater to your unique needs and investment goals. Explore our webpage and discover the range of options available to help you achieve your financial aspirations.

Do you have any questions?

Our contact persons will be happy to assist you.