Unicaja AM brings together more than 500 private banking clients to share its market vision and new investment opportunities

The meetings are held in collaboration with the international asset managers Allianz Global Investors, BlackRock and Candriam

05 NOV 2025

3 Min reading

Unicaja Asset Management, the investment fund management company of Unicaja Group, has brought together more than 500 private banking clients in a series of information sessions held in various locations throughout Spain. The aim of these meetings was to share its market vision for the end of 2025 and to present, together with Allianz Global Investors, BlackRock and Candriam, entities with which it has strategic agreements, the main investment alternatives for the coming months.

 

These face-to-face sessions have been held in twenty cities, including Albacete, Almería, Badajoz, Cádiz, Cáceres, Ciudad Real, Cuenca, Gijón, León, Madrid, Málaga, Oviedo, Salamanca, Santander, Seville, Toledo, Valladolid and Zamora, thus covering a wide representation of the national geography.

They are also part of the relaunch of Unicaja Banca Privada, a new stage in which Unicaja AM plays a key role, reinforcing its value proposition through responsible, innovative management adapted to the needs of each client.

 

The fund manager seeks to consolidate its position as an important player in the national investment fund scene, thanks to a diversified offering that responds to different risk profiles and financial objectives. Unicaja's Strategic Plan 2025-2027 focuses on improving and personalizing the experience and creating value for the client, placing them at the center of its activity.

 

Thanks to its agreements with leading international asset managers, Unicaja Asset Management offers active, efficient and diversified management, without compromising risk levels, improving the quality of service and expanding its range of investment products.

 

With the agreements reached with the three international asset managers, Unicaja AM offers active, diversified and efficient management, without compromising risk levels, improving the quality of service and expanding its range of investment products.

 

 

Market vision

 

At these meetings, the fund manager highlighted the resilience of the European economy and the importance of diversification in an environment marked by geopolitical uncertainty and changes in monetary policy.

The current macroeconomic environment is characterized by a moderation of interest rate expectations, inflation at more controlled levels and a gradual recovery of risk appetite in financial markets.

 

In this context, Unicaja AM's multi-asset funds are positioned as versatile solutions for different investor profiles, combining tactical flexibility with active management, aimed at capturing opportunities in both fixed income and equities.

 

The range of multi-asset funds benefits from an investment architecture that allows exposure to assets to be adjusted according to the economic scenario, while maintaining strict control over volatility, making them a solid alternative to more rigid or indexed products.

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