Amundi Pioneer Asset Management is a fund manager in Boston with $100.93 bn assets under management.
Company profile
Website
Employees
Location
Industry
Former names
Pioneer Investment Management Inc
SEC CIK
IRS number
135657669
SEC advisor number
801-8255
FINRA CRD number
107719
AUM ?
$100.93 bn
(as of 20 Dec 22)
Accounts
220
(as of 20 Dec 22)
Employees
370
(109 investment advisory or research)
Address
Amundi Pioneer Asset Management
60 STATE STREET
13TH FLOOR
BOSTON
MA 02109
60 STATE STREET
13TH FLOOR
BOSTON
MA 02109
Office hours
Monday - Friday, 9:00 A.M. - 5:00 P.M.
Phone
6174224947
Ownership
Owner | Title | From | %Ownership |
---|---|---|---|
Amundi Us, Inc | Shareholder | 10/1956 | > 75% |
Dooling, Gregg, Matthew | Chief Financial Officer | 09/2008 | < 5% |
Jones, Lisa | President, Chairman & Chief Executive Officer, Director | 08/2014 | < 5% |
Amundi Asset Management | Shareholder | 01/2008 | > 75% |
Amundi | Shareholder | 11/1978 | > 75% |
Credit Agricole Sa | Shareholder | 11/1978 | > 75% |
Sas Rue La Boetie | Shareholder | 11/2001 | 50-75% |
Amundi Holdings Us, Inc | Member | 07/2017 | > 75% |
Blanc, Patrice, Etienne | Chief Operations Officer, Director | 07/2017 | < 5% |
De Wit, Bernard, Henri | Director | 07/2017 | < 5% |
Carrel-billiard, Dominique | Director | 07/2017 | < 5% |
Taubes, Kenneth, James | Chief Investment Officer, Director | 07/2017 | < 5% |
Malone, John, Michael | Chief Compliance Officer | 09/2018 | < 5% |
Johnson, John, David | Chief Legal Officer | 04/2022 | < 5% |
Ownership
Fund structure | AUM | Fund type |
---|---|---|
Amundi Asset Management Us, Inc. | $100.93 bn | |
Carolina Securitized Credit Opportunities Master LTD. | $42.99 mm | Hedge Fund |
Carolina Securitized Credit Opportunities LTD. | $43.00 mm | Hedge Fund |
Carolina Securitized Credit Opportunities LLC | $2.36 k | Hedge Fund |
Emerging Markets Equity Focus Portfolio | $11.74 mm | Hedge Fund |
Ils Orion Fund LTD. | $16.84 mm | Other Private Fund |
Institutional Multi Sector Fixed Income Portfolio | $1.05 bn | Hedge Fund |
the Prudential Insurance Company of America Variable Contract Account GI-100-7-SB-AR | $61.49 mm | Hedge Fund |
Latest filings (excl ownership)
No filings
Latest ownership filings
13F-NT
Notice of holdings reported by another manager
14 Feb 24
13F-NT
Notice of holdings reported by another manager
14 Nov 23
13F-NT
Notice of holdings reported by another manager
14 Aug 23
13F-NT
Notice of holdings reported by another manager
15 May 23
13F-NT
Notice of holdings reported by another manager
14 Feb 23
13F-NT
Notice of holdings reported by another manager
14 Nov 22
13F-NT
Notice of holdings reported by another manager
15 Aug 22
13F-NT
Notice of holdings reported by another manager
16 May 22
13F-NT
Notice of holdings reported by another manager
14 Feb 22
13F-NT
Notice of holdings reported by another manager
15 Nov 21