Private Markets
Allianz Global Investors is a leading active asset manager with a wide range of private market strategies, some of which have track-records stretching back for a decade, including private debt, private equity, infrastructure equity and debt, renewables. AllianzGI’s teams manage over EUR 80bn of assets in private market strategies.
Our team
Allianz Global Investors is a leading active asset manager with a wide range of private market strategies, some of which have track-records stretching back for more than a decade, including private debt, private equity, infrastructure equity and debt, renewables. AllianzGI's teams manage over EUR 90bn of assets in private markets.
Our capabilities
AllianzGI’s suite of private market investment solutions provides our clients with access to our expertise across a wide range of strategies.
Our approach
We believe our highly disciplined, distinctive approach can offer investors flexibility in portfolio construction, enhanced diversification, improved risk/reward metrics and the potential to mitigate losses during market dislocations.
*Total assets under management are assets or securities portfolios, valued at current market value, for which Allianz Global Investors companies are responsible vis-á-vis clients for providing discretionary investment management decisions and portfolio management, either directly or via a sub-advisor (these include Allianz Global Investors assets which are now sub-advised by Voya IM since 25 July 2022). This excludes assets for which Allianz Global Investors companies are primarily responsible for administrative services only. Assets under management are managed on behalf of third parties as well as on behalf of the Allianz Group. Source: Allianz Global Investors. Any differences in totals are due to rounding. Assets under management (AUM). Diversification does not guarantee a profit or protect against losses. Please note that “Sustainability-focused” and “Impact-focused” are Allianz Global Investors product categories. Reference to a fund being within them does not indicate that fund has a “Sustainability Focus” or “Sustainability Impact” label under the United Kingdom’s Sustainability Disclosure Requirements (SDR). ESG risk-focused strategies are not considered sustainable according to the EU Sustainable Finance Disclosure Regulation.
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