With over 300 ETFs in our range, you have the power of choice. And we’re sure you’ll find a fund that suits your needs.
From ESG and climate investing to thematics, fixed income to low cost building blocks, we are proud to provide one of the widest, most liquid ETF ranges on the UCITS market.
Be ready for any market with a diversified ETF portfolio.
Your investment journey starts here: explore our range to find the strategy that suits your needs.
Investing responsibly can be easy and accessible with our range of ESG ETFs
No matter their size, your investments can help to address the climate emergency. We make it simple with our Net Zero ambition Climate ETFs.
The world is changing. Will your portfolio keep up? Our thematic ETFs were built to help you stay one step ahead of change.
Gain simple, swift access to market beta or guard against rising rates and inflation when the going gets tough with the Amundi ETF fixed income range.
Investing for the long run? From market cap to thematics, single country to global exposures, sectors to factors and many more: find your fit with our Equity ETFs.
Managing costs is an important part of building a portfolio. The Amundi Prime ETF range offers some of the best value UCITS ETF exposures available.
If you found what you were looking and want to know more about how to buy and sell ETFs, visit our
How to trade page and we'll show you how.
As the leading European ETF provider1, we are committed to help you feel empowered to find the right ETF that meets your needs.
Have a look and see what you can find, you have the power of choice.
There are several different ways to integrate ESG in your portfolio. Choosing the right one for you should take into account many factors, your beliefs, your objectives, any regulatory constraints, and the role you want ESG to play. With more options than ever before, this is a great time to review the core of your portfolio and consider an ESG makeover.
1. Based on ETFGI data as at end July 2023, Amundi ETF is the leading European headquartered ETF provider within the European market.
Capital at risk. Investing in funds entails risk, most notably the risk of capital loss. The value of an investment is subject to market fluctuation and may decrease or increase as a consequence. As a result, fund subscribers may lose part or all of their initial investment.