Track the AMUNDI share price and the full directors' dealings record of the company, a listed issuer based in France. Shares trade on FR FR, under the oversight of AMF. Operating in the Finance & Banking sector, AMUNDI has recorded 182 insider filings. Market capitalisation: €17.7bn. The latest transaction was disclosed on 3 June 2026 (Acquisition définitive d actions de performance). Among the most active insiders: Eric Vandamme. Every trade is accessible without an account.
182
Insider Decl.
0
Thresholds
€2m
14 ops.
Buy Volume
€14m
75 ops.
Sell Volume
Analyst consensus: bullish or bearish?
Analysts rate AMUNDI Buy (bullish), based on 15 analysts. Average price target: €86.24.
57Σ signal
Buys €2m€14m Sells
Fundamental score
Ranked 2,312 of 25,451 companies
74.7
score / 100
Value
78
Quality
71
FCF yld9.8%
Earn yld9.0%
EV/EBITDA8.5x
ROE13%
Gross mgn37%
Net mgn25%
Debt/EBITDA0.9x
Pillars2/3
Transparent value + quality ranking, distinct from the insider signal.
Σ
Sigma AI Analysis
Fundamental view, insider signal, bull and bear case, synthesis.
AI-generated analysis. Opinion, not investment advice. Not backtested. Built from public filings and financials. No price target, no buy or sell recommendation.
2,804 shares@ €76.650.0012% mcap38.0% of flowActionHors plateforme de négociation2026DD1111676
Ideal exit: 23 Jan 2027 (T+270)
25 of 182 declarations
About AMUNDI
Amundi is Europe’s leading asset manager and ranks among the world’s top ten players in the industry. Listed on Euronext Paris, the company carries ISIN FR0004125920. Its business model is centered on managing savings and investments for a broad and diversified client base, including institutional investors, third-party distributors, banking partners, corporates and retail clients. As of 30 September 2025, Amundi reported a record €2.317 trillion in assets under management, underscoring the scale of its franchise, the resilience of its inflows and its ability to capture savings across market cycles.
The group traces its roots to the consolidation of the asset management activities of Crédit Agricole and Société Générale, followed by the build-out of a pan-European platform. Amundi was created in 2010 and has since expanded through organic growth, international partnerships and selective acquisitions. This strategy has strengthened its geographic footprint, broadened its product offering and enhanced its technological capabilities. Today, Amundi’s growth strategy is anchored on three key engines: third-party distribution, Asia and ETFs, while also reinforcing its long-standing positions with European institutional clients.
Amundi offers a comprehensive range of investment solutions spanning active and passive management, ETFs, fixed income and credit strategies, multi-asset products, employee savings plans, responsible investment, and technology services through Amundi Technology. The group also develops real-asset solutions and distribution tools for investment professionals. Its commercial strength rests on a combination of investment expertise, product innovation and client service, with a strong base in Europe and an expanding presence in Asia, the Middle East and North America.
From a competitive standpoint, Amundi holds a leading position in Europe, with particular recognition in fixed income and credit, ETFs and distribution solutions. Full-year 2024 was marked by record net inflows of €55 billion and higher net income, while first-quarter 2025 confirmed the momentum with €31 billion of net inflows and continued growth in assets under management. The group also emphasizes responsible investment, financial discipline and its ambition to provide long-term savings and investment solutions tailored to the needs of a global client base.