HFR and Radient partner on AI-driven Alternative Investment Intelligence | Learn More

CANDRIAM BELGIUM S.A.

CRD No. 173155 | Belgium | Allocator, Asset Manager, Multi Fund Manager | Last Form ADV Filed on 31 Mar 2022 | Registration: SEC | Not Currently Registered
Interested in CANDRIAM BELGIUM S.A.? You may also like

Candriam Belgium S.A. is a wholly-owned subsidiary of Candriam Luxembourg, which is owned by Candriam Group, formerly known as New York Life Investment Management Global Holdings S.à r.l., a subsidiary of New York Life Insurance Company. Candriam is a pan-European multi-specialist asset manager with investment management centers in Brussels, Paris, Luxembourg, and London. It has experienced sales forces covering Europe, the Middle East, and the US. Candriam provides asset management services to clients globally, including discretionary and non-discretionary investment advisory services. It offers a variety of investment strategies that clients can select depending on their investment objectives. Candriam has $129.2 billion of assets under supervision and does not currently participate in wrap fee programs. The company also serves as an Index Consultant to IndexIQ LLC with respect to certain indices that IndexIQ ETFs seek to track. Candriam maintains autonomous investment processes but may leverage the resources and services of its affiliates for certain functions.

Identifying Information
CRD No.
173155
Latest Filing
31 Mar 2022
SEC No.
801-80508
Form of Organization
Other (specify)
Legal Domicile
Belgium
Registration
SEC
Contact Details
Street Address
58, AVENUE DES ARTS
City
BRUSSELS
Postal Code
1000
Location
Belgium
Phone
000-000-0000
Fax
000-000-0000
Company Information
Client Type with highest AUM
Pooled investment vehicles
Proportion of Hedge Funds (by Gross Asset Value)
0%
Primary Private Fund Focus
Other Private Fund
Last change in no. of employees in an advisory capacity
5 %
Last change in AUM (Annualized)
5 %
Total Reg. AUM $122,704,566,076
Discretionary $121,252,275,682
Non-Discretionary $1,452,290,394
$122.7B
Employee Strength 281
281
No. of Accounts 498
Discretionary 491
Non-Discretionary 7
498

Advanced Search

Interested in in-depth research for more such RIAs? Request a Demo & Trial for Radient Advanced

Advanced Search
Private Funds - 7B(1)
11 Private Fund(s), Total Gross Asset Value: $9.078B
Name Type Fund of Funds Gross Asset Value First Reported Date No. of Feeder Funds Administrator Auditor
Other Private Fund $9,077,536,704
Direct Owners
DRUART, GONZAGUE, BRUNO MICHEL
GLOBAL HEAD OF COMPLIANCE (less than 5%)
Cuchet, Fabrice, Marie Henri
CHIEF OPERATIONS OFFICER OFCANDRIAM (less than 5%)
JOHN SMITH
MANAGING DIRECTOR (More than 10% but less than 25%)
JOHN SMITH
MANAGING DIRECTOR (More than 10% but less than 25%)
JOHN SMITH
MANAGING DIRECTOR (More than 10% but less than 25%)
Indirect Owners
MINORITY SHAREHOLDERS
INDIRECT INTEREST HOLDER ()
NEW YORK LIFE INSURANCE COMPANY
INDIRECT INTEREST HOLDER (75% or more)
JOHN SMITH
MANAGING DIRECTOR (More than 10% but less than 25%)
JOHN SMITH
MANAGING DIRECTOR (More than 10% but less than 25%)
JOHN SMITH
MANAGING DIRECTOR (More than 10% but less than 25%)

SEC Links
Other Firms