Editorial - June 2022
Did you say non-financial risk?
Covéa Finance is the asset portfolio management company of the mutual insurance groups MAAF, MMA and GMF. Independent in its decisions, Covéa Finance targets long-term performance. Through the work of its research teams, the company enjoys recognised and award-winning analytical abilities enabling it to anticipate changes in its environment. Its corporate philosophy puts risk control at the heart of its employees’ activities, which each putting their expertise and know-how to work to provide quality insurance services. Covéa Finance offers a wide range of funds that give investors access to the world’s largest financial markets through diversified asset classes.
102.9 billion € in Assets under Management*
132.2 M€ of revenue*
*As of 31/12/2021
Our range provides access to the world's largest financial marketsDiscover
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