Amundi
AMUN.PA

$14.32 B
Marketcap
$70.04
Share price
Country
$-0.21
Change (1 day)
$75.41
Year High
$57.06
Year Low
Categories

Amundi is a publically owned investment manager. The firm engages in the asset management business. The company provides a range of retail products and solutions through quasi-exclusive distribution agreements with the retail banking networks of the Crédit Agricole and the Société Générale groups in France; and through international partner networks and joint ventures outside France, as well as through third-party distributors primarily in France, rest of Europe, and Asia. It also offers management and advisory services for various pension funds, insurers, and sovereigns; and treasury management and employee savings solutions for corporate customers through global relationship managers supported by sales and marketing staff in 30 countries. It was formerly known as Amundi Group. The company was founded in 1982 and is headquartered in Paris, France. Amundi Group operates as a subsidiary of Credit Agricole S.A.

marketcap

Revenue of Amundi (AMUN.PA)

Revenue in 2023 (TTM): $5.86 B

According to Amundi's latest financial reports the company's current revenue (TTM) is $5.86 B. The revenue is the total amount of income that a company generates by the sale of goods or services. Unlike with the earnings no expenses are subtracted.

Revenue history of Amundi

Annual Revenue

Year Revenue Gross Profit Ebitda Income Before Tax Net Income
2023 $5.86 B $2.23 B $1.67 B $1.47 B $1.21 B
2022 $6.12 B $2.42 B $1.52 B $1.46 B $1.12 B
2021 $6.04 B $2.49 B $1.77 B $1.73 B $1.43 B
2020 $4.76 B $2 B $1.41 B $1.28 B $948.25 M
2019 $4.92 B $2.05 B $1.35 B $1.35 B $999.82 M
2018 $5.05 B $2.64 B $1.27 B $1.21 B $891.13 M
2017 $4.29 B $2.37 B $1.05 B $1.01 B $710.08 M
2016 $2.85 B $1.76 B $859.28 M $862.47 M $592.28 M
2015 $2.96 B $1.74 B $832.37 M $839.95 M $540.55 M
2014 $2.79 B $1.62 B $793.56 M $776.05 M $510.37 M
2013 $2.56 B $715.22 M $724.96 M $701.77 M $469.73 M
2012 $2.56 B $757.26 M $784.86 M $743.78 M $506.22 M