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Amundi

Amundi Portfolio holdings

AUM $367B
1-Year Est. Return 31.23%
 

Amundi, established in 2010 through the merger of Crédit Agricole and Société Générale’s asset management arms, is Europe’s largest asset management firm, headquartered in Paris, France, overseeing €2.2 trillion ($2.3 trillion USD) in assets as of late 2024. Serving institutional clients, financial advisors, and retail investors across 35 countries, Amundi offers a broad spectrum of investment solutions, including active and passive funds, ETFs, and sustainable investing options, with a strong focus on cost efficiency and ESG (environmental, social, governance) principles. The firm’s growth has been fueled by strategic acquisitions, such as Pioneer Investments in 2017 and Lyxor in 2021, enhancing its global reach and expertise in index tracking and alternatives. Majority-owned by Crédit Agricole, Amundi combines French financial heritage with a modern, client-centric approach, maintaining a dominant position in Europe while expanding in Asia and the Americas.

This Fund
S&P 500
This Quarter Est. Return
+3.34%
1 Year Est. Return
+31.23%
3 Year Est. Return
+96.94%
5 Year Est. Return
+128.55%
10 Year Est. Return
AUM
$368B
AUM Growth
+$56.9B
Cap. Flow
+$35.6B
Cap. Flow %
9.67%
Top 10 Hldgs %
29.76%
Holding
1,914
New
302
Increased
866
Reduced
590
Closed
79

Top Buys

Rank Stock Value
1
META icon
Meta Platforms (Facebook)
META
+$2.41B
2
MSTR icon
Strategy Inc
MSTR
+$870M
3
NVDA icon
NVIDIA
NVDA
+$788M
4
FISV
Fiserv Inc
FISV
+$689M
5
NFLX icon
Netflix
NFLX
+$592M

Top Sells

Rank Stock Value
1
AAPL icon
Apple
AAPL
+$1.37B
2
QCOM icon
Qualcomm
QCOM
+$813M
3
WMT icon
Walmart Inc
WMT
+$811M
4
FER icon
Ferrovial N.V. Ordinary Shares
FER
+$676M
5
COST icon
Costco
COST
+$563M

Sector Composition

Rank Sector Weight
1 Technology 30.75%
2 Consumer Discretionary 10.71%
3 Financials 9.95%
4 Healthcare 9.04%
5 Communication Services 8.74%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
WPC icon
576
W.P. Carey
WPC
$17.1B
$51.3M 0.01%
796,310
+349,358
+78% +$23.3M
OHI icon
577
Omega Healthcare
OHI
$15.4B
$50.9M 0.01%
1,147,405
+384,888
+50% +$16.6M
VMI icon
578
Valmont Industries
VMI
$9.44B
$50.3M 0.01%
125,142
-29,487
-19% -$12M
PKG icon
579
Packaging Corp of America
PKG
$22.7B
$50.3M 0.01%
244,065
-34,979
-13% -$7.11M
NTES icon
580
NetEase
NTES
$76.5B
$49.8M 0.01%
362,167
-5,070
-1% -$720K
STZ icon
581
Constellation Brands
STZ
$22.2B
$49.4M 0.01%
358,312
-102,265
-22% -$14M
DG icon
582
Dollar General
DG
$25.9B
$49.3M 0.01%
371,332
-19,864
-5% -$2.22M
BALL icon
583
Ball Corp
BALL
$17B
$49.2M 0.01%
928,869
-21,274
-2% -$1.05M
RGLD icon
584
Royal Gold
RGLD
$17.1B
$49.2M 0.01%
221,293
+29,484
+15% +$5.85M
BURL icon
585
Burlington
BURL
$22B
$49.1M 0.01%
170,026
-9,430
-5% -$2.56M
SHLS icon
586
Shoals Technologies Group
SHLS
$1.58B
$49.1M 0.01%
5,776,766
+3,677,713
+175% +$33M
MAA icon
587
Mid-America Apartment Communities
MAA
$15.6B
$48.9M 0.01%
352,111
+40,471
+13% +$5.39M
SOFI icon
588
SoFi Technologies
SOFI
$21.1B
$48.7M 0.01%
1,859,481
+1,210,689
+187% +$33.7M
ENPH icon
589
Enphase Energy
ENPH
$4.84B
$48.5M 0.01%
1,513,919
+371,893
+33% +$12M
RDDT icon
590
Reddit
RDDT
$32.5B
$48.5M 0.01%
210,972
+71,241
+51% +$15M
CG icon
591
Carlyle Group
CG
$16.3B
$48.4M 0.01%
818,535
+552,724
+208% +$31.4M
DT icon
592
Dynatrace
DT
$12.1B
$48.2M 0.01%
1,111,028
+130,303
+13% +$6.07M
GD icon
593
General Dynamics
GD
$105B
$47.1M 0.01%
139,997
+9,807
+8% +$3.34M
EQH icon
594
Equitable Holdings
EQH
$13.1B
$47M 0.01%
987,018
+106,512
+12% +$5.05M
MOD icon
595
Modine Manufacturing
MOD
$12.8B
$46.6M 0.01%
349,366
+75,292
+27% +$11.2M
NI icon
596
NiSource
NI
$22.4B
$45.8M 0.01%
1,097,127
+49,786
+5% +$2.13M
BRO icon
597
Brown & Brown
BRO
$22.9B
$45.3M 0.01%
568,106
+27,013
+5% +$2.25M
BLDR icon
598
Builders FirstSource
BLDR
$7.84B
$45.2M 0.01%
439,481
+105,982
+32% +$11.9M
WTS icon
599
Watts Water Technologies
WTS
$11.5B
$45.2M 0.01%
163,612
-22,233
-12% -$6.13M
FNF icon
600
Fidelity National Financial
FNF
$13.9B
$45.2M 0.01%
827,222
+285,849
+53% +$16.3M

Similar funds

Amundi's Q4 2025 Portfolio in Review

As of Q4 2025, Amundi held 1,914 positions worth $368B, up 18% from $311B the previous quarter. Its ten largest holdings account for 30% of the portfolio.

Amundi deployed $35.6B of net new capital in Q4 2025, opening 302 new positions and adding to 866 existing holdings. Its largest new stake was Victory Capital Holdings: 3,054,924 shares worth $193M.

By sector, the portfolio is most concentrated in Technology at 31% of assets, down from 36% a quarter earlier, followed by Consumer Discretionary and Financials.

On the sell side, the largest reduction was Apple, an estimated $1.37B trimmed.

  • Amundi's largest Q4 2025 buy was Victory Capital Holdings: 3,054,924 shares worth $193M.
  • Amundi added most to Meta Platforms (Facebook) in Q4 2025, an estimated $2.41B increase.
  • Amundi's biggest Q4 2025 reduction was Apple, cutting an estimated $1.37B.
  • Amundi fully exited Kellanova in Q4 2025, selling an estimated $346M.
  • Amundi's ten largest holdings make up 30% of its $368B portfolio in Q4 2025.
  • Amundi opened 302 new positions and closed 79 in Q4 2025.
  • Amundi's portfolio value rose 18% quarter-over-quarter to $368B.

Based on Amundi's 13F filing for Q4 2025, filed 17 Feb 2026.