AMINDIS is a leading company that offers a full range of advanced asset management solutions and methodologies, providing reliable solutions to financial institutions for over twenty years. We are committed to providing innovative and disruptive solutions, generating value for our customers and their portfolios. Our approach is based on high-quality research in Risk, Return and ESG. The Financial R&D department regularly publishes new approaches and methodologies in publications specialising in the investment management market. These methodologies are built on the most advanced technologies and mathematical models that enable AMINDIS to offer a wide range of services, specialists in performance and performance attribution.
Compute and analyse the carbon risk of your investments
Impact | Risk | Return - The new equation to solve
Performance Attribution for SRI funds
ESG Integration is your new challenge