Newsroom
Vincent Mortier
- Group Chief Investment Officer
Vincent has been Group Chief Investment Officer and member of Amundi's General Management Committee and Executive Committee since February 2022. Previous to that, he has been the Group Deputy CIO of Amundi since 2015. He is a member of the Global Management Committee, the Executive Management Committee and of several supervisory boards.
In his capacity as Deputy CIO, Vincent has been notably instrumental in anchoring ESG at the heart of the investment process across the different active investment platforms of Amundi and the establishment of a strong risk management framework. Playing also the role of Supervisor of the Group’s activities in Asia ex-Japan, he is also very much involved in developing Amundi’s businesses in this region, and played a key role in setting up the joint venture with Bank of China in particular.
He joined from Société Générale CIB where he held several positions within Equity derivatives, most recently as Chief Financial Officer of the Global Banking and Investor Solutions division since 2012. He joined the Société Générale Group strategy department in 2004 where he was in charge of overseeing SG CIB and several Central and Eastern European countries. In 2007 he became Chief of Staff to the CEO of SG CIB. He started his career at Société Générale in 1996 in internal audit.
Vincent holds an MBA from ESCP Europe Business School.
Linked Topics
London, UK, 24 November 2022
2023 Global Investment Outlook : A glimmer of light after the storm ?
Risks will continue to abound, ranging from geopolitical tensions to high inflation Regional divergences will intensify amid tug-of-war between monetary and fiscal policies Global gro [...]
Paris, France, 17 November 2021
Stagflation looming and the new market regime: investing in the great transformation
London, UK, 26 August 2021
Amundi extends the ESG Improvers fund range with two fixed income fund strategies
London, UK, 14 January 2020
Eurozone outperforms North America in ESG investing, new research from Amundi finds
London, 14th January 2020 – Amundi, Europe’s largest asset manager and a pioneer in responsible investment, researched the impact of environmental, social and governance (‘ESG’) [...]
London, UK, 28 November 2019
2020 Investment Outlook : Stay agile amid diverging scenarios
London, UK, 5 November 2019
China's growth tremors: risks, opportunities and the road ahead
London, UK, 11 October 2019
Trump impeachment is likely, but impact on financial markets would be short-lived
UK, 18 September 2019
Amundi Cross Asset Investment Strategy - September 2019
Trade war escalation and impact on world trade and economic growth Alessia Berardi, Deputy Head of Macroeconomic Research Trade tensions re-escalated during the summer. Starting on 1 [...]
UK, 18 September 2019
Amundi Global Investment Views - September 2019
Back to school. Back to normal? Financial markets have been rattled in the past weeks over escalating trade war between the US and China as both imposed tariffs and counter-tariffs on [...]
London, UK, 1 April 2019
A dovish ECB, a little relief for the banking sector
The European Central Bank (ECB) announced a new series of TLTROs starting in September 2019 and changed its forward guidance, with a commitment not to hike rates this year. Eurozone e [...]
London, UK, 28 March 2019
Global investment Views - April 2019
A sweet spot, but keep a sharp eye on the macro side Risky assets have been in a very strong uptrend since the beginning of the year. The key question now is, where do we go from here? [...]
London, UK, 5 March 2019
Cross Asset - March 2019 - Investment Strategy
Licence for value hunting If an investor had woken up today after three months and looked at the markets, he/she could reasonably say that not much had changed. The year started on str [...]
United Kingdom, 7 February 2019
Investment Talks - China more appealing based on progress in trade negotiations
Chinese New Year brings some hopes on the trade front, as some details are emerging on progress with the negotiations. We expect some sort of conditional deal to be reached; however, un [...]
United Kingdom, 4 February 2019
Cross Asset - February 2019 - Investment Strategy
After a tough December, which led to an abrupt valuation reset, risk assets rebounded in the first weeks of the year, boosted by a market-sympathetic turn in Fed rhetoric and an increas [...]
United Kingdom, 4 February 2019
Amundi will offer onshore funds in Taiwan thanks to the acquisition of Mirae Asset Global Investments (Taiwan)
London, 1 February 2019 Amundi, the European leading asset manager1 with €1.475 trillion in assets under management2, announces the acquisition of Mirae Asset Global Investments (Taiw [...]
United Kingdom, 14 January 2019
ESG screening positively impacts portfolio performance, new research from Amundi finds
Popularity of active and passive ESG investing boosted by increasing institutional demand 2014 marks a turning point with ESG screening driving outperformance in developed equities wit [...]
United Kingdom, 7 January 2019
Global Investment Views - January 2019
Focus on fundamentals to ride turbulent markets Investors are facing an unsettled environment. For 2019 we think it will be key to look at three areas: From economic deceleration to [...]
United Kingdom, 17 December 2018
Amundi Cross Asset - Investment Strategy - December 2018
Strategies for tough markets This year has proven to be challenging for portfolio construction, as well as regarding returns. To put this into perspective, for 2009-17, our analysis sh [...]
London, Royaume-Uni, 13 December 2018
Investment Talks - Why investors should care about French "yellow vests" protest
The Gilets Jaunes (Yellow Vests) are a largely spontaneous protest movement that emerged in France, in October. With no declared political affiliation, they called for lower taxes [...]
United Kingdom, 3 December 2018
Investment Talks - From G20: short-term relief, but it is not the final word on trade disputes
The latest G20 demonstrates some temporary progress in the US/China relationship. An increase of tariff rates in January 2019 was put on hold and the possibility for an additional tranc [...]
United Kingdom, 12 October 2018
Investment Talks - Late cycle features at play: more pain, but not the end of the game
Market sell-off: a late cycle feature where uncertainty due to tariffs, rates and oil prices are sending some red signals. Autumn comes with a change of mood in the market triggered by [...]
Londres, Royaume-Uni, 11 October 2018
Amundi Cross Asset Investment Strategy - October 2018
US midterm election : potential economic agenda and market implications
United Kingdom, 26 September 2018
Global Investment Views - October 2018
Price dislocations lead to a rise in contrarian views
Londres, Royaume-Uni, 13 September 2018
Amundi Cross Asset Investment Strategy - September 2018
10 years from Lehman: reality check
United Kingdom, 26 June 2018
Research Paper - Global Investment Views - July 2018
A cloudy summer
United Kingdom, 24 May 2018
Research Paper - Global Investment Views - June 2018
Go the extra mile, but check the exits
United Kingdom, 30 April 2018
Charting an investment path through the fog
While in 2017 financial markets largely ignored geopolitical risks, as they were more inclined to read the Goldilocks narrative, this mood now appears to be changing. In an environment [...]
United Kingdom, 6 April 2018
Amundi Cross Asset - April 2018
Stay on course, despite looming noise While still benefitting from a global synchronised growth outlook (likely peaking), financial markets are getting nervous, experiencing the fat [...]
About Amundi
About Amundi
Amundi, the leading European asset manager, ranking among the top 10 global players[1], offers its 100 million clients - retail, institutional and corporate - a complete range of savings and investment solutions in active and passive management, in traditional or real assets. This offering is enhanced with IT tools and services to cover the entire savings value chain. A subsidiary of the Crédit Agricole group and listed on the stock exchange, Amundi currently manages more than €1.9 trillion of assets[2].
With its six international investment hubs[3], financial and extra-financial research capabilities and long-standing commitment to responsible investment, Amundi is a key player in the asset management landscape.
Amundi clients benefit from the expertise and advice of 5,400 employees in 35 countries.
Amundi, a trusted partner, working every day in the interest of its clients and society
Footnotes