Select your local site for products and services by region

Americas
Latin America
United States
United States Offshore
Asia Pacific
Australia
Hong Kong
Japan
Korea
Singapore
Europe
Austria
France
Germany
Italy
Spain
United Kingdom
Location not listed?
International
Fixed income
Active fixed income investments uncover yield and value opportunities while mitigating risk. Tap into Natixis Investment Managers’ expertise.
September 18, 2024
Portfolio analysis & consulting
In-depth portfolio analysis to identify and measure sources and drivers of risk and return that can be applied to asset allocation in client portfolios.
Outlook 2025
December 19, 2024
2025 Investment outlook
What’s ahead for investors? Our portfolio managers and strategists share macro, market, and asset allocation views.
Tools of the Trade
Tap into insights, portfolio analysis techniques, and educational tools to explore trends, navigate rapidly changing markets, and uncover opportunities.
Diversity, inclusion, and belonging
We continually work to create an environment that promotes diversity, inclusion, and belonging in all its forms, across gender, race, religion, sexual orientation, disability, ethnicity and background.
Portfolio construction

What makes Natixis Model Portfolios different?

July 05, 2024 - 1 min read

Brian Kmetz, Portfolio Manager, Natixis Investment Managers Solutions, explains three key differences Natixis Model Portfolios deliver to clients compared to other model providers in this highlights clip from an AssetTV MasterClass on Model Portfolios. 

  • Diverse manager lineup: Natixis Investment Managers’ multi-affiliate structure enables the team to select funds for the models from active asset managers with varying investment philosophies, processes, brands, and research platforms.
  • Differentiated time horizons: Tend to be a little shorter, both on the strategic and tactical side, which allows the team to be fairly opportunistic.
  • Portfolio management team makeup: Members bring diverse, specialized expertise, including strategic allocation, tactical asset allocation, manager research, and due diligence.
6731801.1.1