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Vega Investment Solutions

Full company profile

uuid00smit8

Namestring
Vega Investment Solutions
Legal namestring
VEGA Investment Solutions
Websiteurl
vega-is.com
Company typeenum
Private
Founded yearint
1990
Operating statusenum
Operating
Ownership categoryenum
Headcount rangeband
51–100
akta.pro rankint
HeadquartersParis, France
HQ citystring
Paris
HQ countrystring
France
HQ regionstring
Europe
Markets served

Serves global market

Offices2 records

Each record includes

City, Country, Type, Description, Source

Keyword5 values
asset management services, portfolio management, mutual funds, employee savings plans, structured investment products
Industry5 codes
1Institutional Consulting RIAs (OCIO/Endowments/Foundations/Pensions)
CodeFSAAACAGPrimaryYes
2Managed Account Platforms (Separately Managed Accounts / Customized Portfolios)
CodeFSAHAKACPrimaryNo
3Impact Investing (Intentional, Measurable Social/Environmental Outcomes)
CodeFSAAALACPrimaryNo
4ESG Integration / Responsible Investment Funds (Broad ESG)
CodeFSANAJALPrimaryNo
5Multi-Sector / Total Return Fixed Income
CodeFSAAAHAJPrimaryNo
NAICS code3 codes
  • Portfolio Management and Investment Advice523940
  • Open-End Investment Funds525910
  • Insurance and Employee Benefit Funds5251
SIC code1 code
  • Investment Advice6282
Product category
Asset Management
GTM motion1 record

Each record includes

Type, Description, Source

Revenue model2 records
1Asset Management Fees
TypeSubscription Recurring
Description

Management fees charged on assets under management across all product lines including collective management, delegated management, employee savings and retirement solutions, structured products, and premium advisory services

vega-is.com
2AUM-Based Revenue
TypeSubscription Recurring
Description

Total assets under management of 82.7 billion euros as of March 31, 2026, generating recurring revenue across multiple investment strategies and product categories

vega-is.com
Marketing channels6 records

Each record includes

Title, Type, Stage, Description, Source

Distribution channels3 records

Each record includes

Title, Type, Scope, Target buyer, Description, Source

Cost components6 values
Personnel, Operations, Technology or R&D, Marketing or Sales, Infrastructure, Others
Pricing details1 tier
1Management fees on total AUM
ModelSubscriptionBilling cadenceAnnual
Notes

Fees are typically structured as a percentage of assets under management, varying by fund type and share class. For institutional share classes (e.g., Part I), management fees are generally lower (e.g., 0.70% for A-C class of VEGA Monde Patrimoine), while retail share classes have higher fees.

vega-is.com
GTM typeB2B and B2C
B2B and B2C
Offering typeServices
Services
Core offering1 text field

VEGA Investment Solutions is a Paris-based asset management company managing 82.7 billion euros across collective investment funds, discretionary delegated portfolio management, employee savings and retirement plans, structured products, premium advisory services, and private assets. Operating within the Natixis IM multi-affiliate model, the firm provides open-architecture access to over 200 investment strategies across all asset classes and delivers responsible investing solutions through ISR-labeled funds.

Differentiator
Functional benefit
Problem solved
Quantifiable outcome1 of 3 values shown
  • VEGA Oblig Euro ISR recognized as Best Fund over 3 Years at Lipper Awards 2026 in Bond EMU Government category
+2 more records
Product overview1 text field

VEGA Investment Solutions is an asset management company (formerly VEGA Investment Managers) that rebranded on January 1, 2025 following integration of Natixis Investment Managers International activities. The company operates a multi-affiliate model within Natixis IM, providing access to over 15 management companies and 200+ strategies. The product portfolio centers on seven named investment funds spanning multiple asset classes: VEGA Patrimoine ISR (multi-asset), VEGA Alpha Opportunités ISR (absolute return), VEGA France Opportunités ISR (French equities), VEGA Obligations Euro ISR (euro bonds), VEGA Euro Rendement ISR (diversified bonds), VEGA Euro Credit 2028 (fixed-maturity 2028), and VEGA Euro Call 2030 (fixed-maturity 2030). Additional offerings include VEGA Global Care ISR (healthcare thematic), VEGActive Protégée Mars 2031 (capital-protected structured fund), and POLARIS CONVICTIONS (multi-strategy). The company structures its expertise across six service pillars: Collective Management (19.8bn€), Delegated Management (12bn€), Premium Advisory (0.8bn€), Employee Savings & Retirement (44.4bn€), Responsible Investing, and Private Assets. Total assets under management stand at 82.7 billion euros as of March 31, 2026.

Product and service18 records
1VEGA Patrimoine ISR
CategoryMulti-asset fund
Description

Diversified multi-asset fund investing 30-60% in equities and 40-70% in bonds/money market instruments, with ESG integration and ISR labeling. Maintains a risk indicator (SRI) of 3/7, targeting investors seeking balanced patrimonial management.

2VEGA Alpha Opportunités ISR
CategoryAbsolute return fund
Description

Absolute return fund combining long positions and hedging strategies on the CAC 40 index, with equity exposure ranging from 0% to 20%, targeting absolute return through dynamic allocation.

3VEGA France Opportunités ISR
CategoryEquity fund
Description

French equity fund investing 75-100% in PEA-eligible EU stocks with minimum 60% in French equities and maximum 25% in other EU countries, pursuing a value-oriented active selection strategy.

4VEGA Obligations Euro ISR
CategoryBond fund
Description

Euro-denominated bond fund investing minimum 2/3 in Eurozone government bonds and maximum 1/3 in investment-grade corporate bonds, with sensitivity between 3 and 8. Labeled ISR with minimum 25% sustainable investments; won Best Fund over 3 Years at Lipper Fund Awards 2026.

5VEGA Euro Rendement ISR
CategoryDiversified bond fund
Description

Diversified fund with discretionary allocation across equities (max 40%), bonds (min 60%), and money market (max 10%), investing in euro-denominated securities with ESG integration and minimum 35% sustainable investments. Ranked 2nd at Grand Prix de la Finance 2026.

6VEGA Euro Credit 2028
CategoryFixed-maturity bond fund
Description

Fixed-maturity fund investing in euro-denominated corporate bonds with maturity dates around 2028-2029, maximizing carry until maturity. SFDR Article 8 with minimum 30% sustainable investments and 88 million euros in total net assets.

7VEGA Euro Call 2030
8VEGActive Protégée Mars 2031
9VEGA Global Care ISR
CategoryThematic equity fund
Description

Healthcare-themed equity fund promoting ESG criteria, with 10% of management fees donated to the AP-HP foundation, having contributed 524,308 euros since 2021.

10POLARIS CONVICTIONS
CategoryMulti-strategy fund
Description

Flexible multi-strategy fund allowing investment in convertibles (up to 20%), perpetual bonds (up to 20%), high-yield bonds (up to 30%), contingent convertibles (up to 5%), and alternative strategy UCITS (up to 10%).

11Gestion Collective (Collective Management)
CategoryAsset management service
Description

Expertise in managing and distributing investment funds, including multi-affiliate access to over 15 management companies and 200+ underlying strategies across all asset classes. Manages 19.8 billion euros in AUM.

12Gestion Déléguée (Delegated Management)
CategoryDiscretionary portfolio management service
Description

Discretionary portfolio management services for institutional and professional investors, leveraging dynamic asset allocation and 25 years of experience in open-architecture fund selection. Manages 12 billion euros in AUM.

13Gestion Conseillée Premium (Premium Advisory Management)
CategoryPremium advisory service
Description

Premium advisory service combining asset allocation expertise with fund selection capabilities for high-net-worth clients, managing 0.8 billion euros in assets under advisory.

14Solutions Épargne Retraite et Salariale (Employee Savings & Retirement Solutions)
CategoryEmployee benefits and retirement service
Description

Employee savings and retirement solutions including FCPE funds for corporate clients, managing 44.4 billion euros in employee savings and retirement assets across profit-sharing, PEE, PERCO, and PER vehicles.

15Conseil et Sélection en OPC (Fund Selection & Advisory)
CategoryFund selection and advisory service
Description

Fund selection and advisory expertise enabling clients to access best-in-class strategies from Natixis IM affiliates and external managers through open architecture.

16Gestion Responsable (Responsible Investing)
CategoryResponsible investing service
Description

ESG integration and responsible investment expertise across all fund ranges, with multiple ISR-labeled products and SFDR Article 8 compliant funds.

17Actifs Privés (Private Assets)
CategoryPrivate assets service
Description

Private assets investment expertise including non-listed investments, alternative assets, and illiquid investment opportunities for qualified investors.

18Solutions Produits Structurés (Structured Products)
CategoryStructured products service
Description

Structured products expertise including capital-protected products and fixed-maturity bond funds, managing 5.7 billion euros in structured product solutions.

Scale indicator10 records

Each record includes

Type, Value, Description, Source

Partnership11 partners
Strategic tierCoreTypeStrategic or Co-development Partner
Description

Parent of VEGA IS within the Natixis IM multi-affiliate model; provides access to over 15 affiliated asset management companies and 200+ investment strategies across all asset classes

Strategic tierCoreTypeChannel Partner/ Reseller/ Distributor
Description

Key distribution partner for VEGA IS investment products; close commercial partnership enabled the creation of VEGActive Protégée Mars 2031 structured product

Strategic tierCoreTypeChannel Partner/ Reseller/ Distributor
Description

Key distribution partner for VEGA IS investment products within BPCE network; collaborated on structured product development including VEGActive Protégée Mars 2031

Strategic tierCoreTypeStrategic or Co-development Partner
Description

Insurance partner within BPCE group; close collaboration enabled development of innovative structured products like VEGActive Protégée Mars 2031

Strategic tierMinorTypeOthers
Description

Healthcare foundation partner for VEGA Global Care ISR fund; 10% of management fees are donated to AP-HP foundation, with 524,308 euros reversed since 2021

Strategic tierCoreTypeStrategic or Co-development Partner
Description

Official management company for VEGA IS funds; VEGA IS serves as delegated financial manager for funds under Natixis IM International

Strategic tierMinorTypeOthers
Description

Affiliate asset management company of Natixis IM; also recognized at 2026 LSEG Lipper Fund Awards

Strategic tierMinorTypeOthers
Description

Affiliate asset management company of Natixis IM; recognized at 2026 LSEG Lipper Fund Awards

Strategic tierMinorTypeOthers
Description

Affiliate asset management company of Natixis IM specialized in responsible investing; recognized at 2026 LSEG Lipper Fund Awards

Strategic tierMinorTypeOthers
Description

Affiliate asset management company of Natixis IM; recognized at 2026 LSEG Lipper Fund Awards

Strategic tierMinorTypeOthers
Description

Affiliate asset management company of Natixis IM; recognized at 2026 LSEG Lipper Fund Awards

Recent move6 records

Each record includes

Date, Type, Title, Description, Source

Expansion highlight5 records

Each record includes

Type, Description

Peers10 records
TypeDirect peer
Description

France's largest asset manager with €2T+ AUM, offering mutual funds, ETF, and institutional management. Direct competitor to VEGA in French retail mutual funds, employee savings (Épargne Salariale), and institutional SMA businesses, with overlapping distribution via French retail banks.

TypeDirect peer
Description

French asset manager owned by mutual insurers and Macif with €80B+ AUM, distributing through partner networks. Comparable scale and distribution-via-affiliates model to VEGA, with overlapping institutional and retail client bases.

TypeDirect peer
Description

French active asset manager and Natixis IM affiliate focused on European equities and multi-asset strategies with €30B+ AUM. Closely comparable to VEGA on open-architecture conviction-driven fund selection and co-honored at 2026 Lipper Awards.

TypeDirect peer
Description

Sister affiliate under Natixis IM specializing in fixed income and overlay management, with €400B+ AUM. Competes with VEGA Obligations Euro ISR and Euro Rendement ISR in the institutional and retail euro bond space and was co-recognized at Lipper Awards 2026.

TypeDirect peer
Description

French-rooted global asset manager with $200B+ AUM in active equities, fixed income, and alternatives. Comparable active management franchise serving European institutional and retail clients, similar AUM scale band to VEGA.

TypeBroad incumbent
Description

Parent multi-affiliate platform housing VEGA, Ostrum, DNCA, Mirova, Dorval, and WCM. Operates the same multi-affiliate model and open-architecture distribution that VEGA leverages; provides direct benchmark for platform economics and affiliate strategy.

TypeDirect peer
Description

Asset management arm of French insurer Groupama with €100B+ AUM, distributed through Groupama's mutual insurance network. Highly comparable structure to VEGA's BPCE distribution model, with similar mix of institutional, retail, and employee savings.

TypeDirect peer
Description

French active asset manager owned by Amundi, focused on thematic, credit, and multi-asset strategies for institutional and retail clients. Direct competitor in French multi-asset ISR products and structured solutions comparable to VEGA's range.

TypeDirect peer
Description

Swiss-French private banking and asset management group with €80B+ AUM focused on active equities, fixed income, and multi-asset strategies for HNW and institutional clients. Comparable active management philosophy and European private bank distribution.

TypeRegional player
Description

French-rooted global asset manager with €90B+ AUM providing active management and advisory services to institutional and private clients across Europe. Comparable active multi-asset and fixed income capabilities but with stronger international distribution than VEGA.

Market position
Strengths5 records

Each record includes

Headline, Details, Source

Weaknesses5 records

Each record includes

Headline, Details, Source

Competitive moat4 records

Each record includes

Type, Details

Key risks6 records

Each record includes

Headline, Details, Source

Key highlights7 records

Each record includes

Headline, Details, Source

Customer concentration

Classification, Details

Named customers2 records

Each record includes

Name, Industry, Type, Use case, Source, UUID

Segment3 records

Each record includes

Title, Type, Primary, Description, Pain point addressed, Use case, Source

Ideal customer profile3 records

Each record includes

Profile, Firmographic size, Sales motion, Sales cycle length, Buying structure, Purchase trigger, Buyer persona, Geography, Industry vertical, Primary use case, Description, Pain points, Evidence proof points, Target buyer

Technology focused
No
API detail
Has APIbool
No

Docs URL, Description

AI maturity
App detail

Has app

Feature3 records

Each record includes

Title, Differentiator, Description, Source

Core technology
Revenue estimate
Valuation estimate
Number of profiles
Profiles10 records

Each record includes

Name, Designation, Designation category, Overview, Profile commentary, Source

No data
Compliance5 records

Each record includes

Name, Class, Description

Funding overview

Funding stage, Last funding date, Total funding USD

Funding rounds

Each record includes

Round, Amount USD, Date, Pre money valuation, Total investors, Investors, News

Investors

Each record includes

Name, Type, Date of entry, Rounds participated, Website

Funding detail is available on the Subscription and Enterprise plan.Contact sales →

M&A

Each record includes

Name, Acquisition type, Announced date, Completed date, Status, Website, News

Investment

Each record includes

Name, Round, Announced date, Lead investor, Website, News

M&A and investment is available on the Subscription and Enterprise plan.Contact sales →

Vega Investment Solutions

Asset Managementvega-is.com

Vega Investment Solutions firmographics

Firmographics
Name
Vega Investment Solutions
Legal name
VEGA Investment Solutions
Website
https://vega-is.com
Company type
Private
Founded year
1990
Operating status
Operating
Headcount range
51–100 employees
Ownership category
akta.pro rank

Vega Investment Solutions industry classification

Industry
Product category
Asset Management
NAICS
Portfolio Management and Investment Advice (523940), Open-End Investment Funds (525910), Insurance and Employee Benefit Funds (5251)
SIC
Investment Advice (6282)
akta.pro primary industry
Institutional Consulting RIAs (OCIO/Endowments/Foundations/Pensions) (FSAAACAG)
akta.pro secondary industries
Managed Account Platforms (Separately Managed Accounts / Customized Portfolios) (FSAHAKAC), Impact Investing (Intentional, Measurable Social/Environmental Outcomes) (FSAAALAC), ESG Integration / Responsible Investment Funds (Broad ESG) (FSANAJAL), Multi-Sector / Total Return Fixed Income (FSAAAHAJ)

Keywords

  • Asset management services
  • Portfolio management
  • Mutual funds
  • Employee savings plans
  • Structured investment products

Where Vega Investment Solutions is headquartered

Location

Headquarters

HQ city
Paris
HQ country
France
HQ region
Europe

Offices2 records

Markets served

Vega Investment Solutions business model

Business model
GTM type
B2B and B2C
Offering type
Services
Cost components
Personnel, Operations, Technology or R&D, Marketing or Sales, Infrastructure, Others

Revenue model

  1. Asset Management Fees: Management fees charged on assets under management across all product lines including collective management, delegated management, employee savings and retirement solutions, structured products, and premium advisory services
  2. AUM-Based Revenue: Total assets under management of 82.7 billion euros as of March 31, 2026, generating recurring revenue across multiple investment strategies and product categories

Pricing tiers

ModelBillingPrice
SubscriptionAnnualManagement fees on total AUM

Go-to-market motion1 record

Distribution channels3 records

Marketing channels6 records

Vega Investment Solutions product offering

Product offering

Core offering

VEGA Investment Solutions is a Paris-based asset management company managing 82.7 billion euros across collective investment funds, discretionary delegated portfolio management, employee savings and retirement plans, structured products, premium advisory services, and private assets. Operating within the Natixis IM multi-affiliate model, the firm provides open-architecture access to over 200 investment strategies across all asset classes and delivers responsible investing solutions through ISR-labeled funds.

Product overview

VEGA Investment Solutions is an asset management company (formerly VEGA Investment Managers) that rebranded on January 1, 2025 following integration of Natixis Investment Managers International activities. The company operates a multi-affiliate model within Natixis IM, providing access to over 15 management companies and 200+ strategies. The product portfolio centers on seven named investment funds spanning multiple asset classes: VEGA Patrimoine ISR (multi-asset), VEGA Alpha Opportunités ISR (absolute return), VEGA France Opportunités ISR (French equities), VEGA Obligations Euro ISR (euro bonds), VEGA Euro Rendement ISR (diversified bonds), VEGA Euro Credit 2028 (fixed-maturity 2028), and VEGA Euro Call 2030 (fixed-maturity 2030). Additional offerings include VEGA Global Care ISR (healthcare thematic), VEGActive Protégée Mars 2031 (capital-protected structured fund), and POLARIS CONVICTIONS (multi-strategy). The company structures its expertise across six service pillars: Collective Management (19.8bn€), Delegated Management (12bn€), Premium Advisory (0.8bn€), Employee Savings & Retirement (44.4bn€), Responsible Investing, and Private Assets. Total assets under management stand at 82.7 billion euros as of March 31, 2026.

Differentiator

Problem solved

Functional benefit

Products and services

  • VEGA Patrimoine ISR Diversified multi-asset fund investing 30-60% in equities and 40-70% in bonds/money market instruments, with ESG integration and ISR labeling. Maintains a risk indicator (SRI) of 3/7, targeting investors seeking balanced patrimonial management.
  • VEGA Alpha Opportunités ISR Absolute return fund combining long positions and hedging strategies on the CAC 40 index, with equity exposure ranging from 0% to 20%, targeting absolute return through dynamic allocation.
  • VEGA France Opportunités ISR French equity fund investing 75-100% in PEA-eligible EU stocks with minimum 60% in French equities and maximum 25% in other EU countries, pursuing a value-oriented active selection strategy.
  • VEGA Obligations Euro ISR Euro-denominated bond fund investing minimum 2/3 in Eurozone government bonds and maximum 1/3 in investment-grade corporate bonds, with sensitivity between 3 and 8. Labeled ISR with minimum 25% sustainable investments; won Best Fund over 3 Years at Lipper Fund Awards 2026.
  • VEGA Euro Rendement ISR Diversified fund with discretionary allocation across equities (max 40%), bonds (min 60%), and money market (max 10%), investing in euro-denominated securities with ESG integration and minimum 35% sustainable investments. Ranked 2nd at Grand Prix de la Finance 2026.
  • VEGA Euro Credit 2028 Fixed-maturity fund investing in euro-denominated corporate bonds with maturity dates around 2028-2029, maximizing carry until maturity. SFDR Article 8 with minimum 30% sustainable investments and 88 million euros in total net assets.
  • VEGA Euro Call 2030
  • VEGActive Protégée Mars 2031
  • VEGA Global Care ISR Healthcare-themed equity fund promoting ESG criteria, with 10% of management fees donated to the AP-HP foundation, having contributed 524,308 euros since 2021.
  • POLARIS CONVICTIONS Flexible multi-strategy fund allowing investment in convertibles (up to 20%), perpetual bonds (up to 20%), high-yield bonds (up to 30%), contingent convertibles (up to 5%), and alternative strategy UCITS (up to 10%).
  • Gestion Collective (Collective Management) Expertise in managing and distributing investment funds, including multi-affiliate access to over 15 management companies and 200+ underlying strategies across all asset classes. Manages 19.8 billion euros in AUM.
  • Gestion Déléguée (Delegated Management) Discretionary portfolio management services for institutional and professional investors, leveraging dynamic asset allocation and 25 years of experience in open-architecture fund selection. Manages 12 billion euros in AUM.
  • Gestion Conseillée Premium (Premium Advisory Management) Premium advisory service combining asset allocation expertise with fund selection capabilities for high-net-worth clients, managing 0.8 billion euros in assets under advisory.
  • Solutions Épargne Retraite et Salariale (Employee Savings & Retirement Solutions) Employee savings and retirement solutions including FCPE funds for corporate clients, managing 44.4 billion euros in employee savings and retirement assets across profit-sharing, PEE, PERCO, and PER vehicles.
  • Conseil et Sélection en OPC (Fund Selection & Advisory) Fund selection and advisory expertise enabling clients to access best-in-class strategies from Natixis IM affiliates and external managers through open architecture.
  • Gestion Responsable (Responsible Investing) ESG integration and responsible investment expertise across all fund ranges, with multiple ISR-labeled products and SFDR Article 8 compliant funds.
  • Actifs Privés (Private Assets) Private assets investment expertise including non-listed investments, alternative assets, and illiquid investment opportunities for qualified investors.
  • Solutions Produits Structurés (Structured Products) Structured products expertise including capital-protected products and fixed-maturity bond funds, managing 5.7 billion euros in structured product solutions.

Quantifiable outcome

  • VEGA Oblig Euro ISR recognized as Best Fund over 3 Years at Lipper Awards 2026 in Bond EMU Government category
  • +2 more outcomes

Companies that use Vega Investment Solutions

Customer profile

Named customers2 records

Segments3 records

Ideal customer profiles3 records

Vega Investment Solutions technology and API

Technology

Technology focussed No

API detail

Has API
No
API docs
API detail

Core technology

AI maturity

App detail

Feature3 records

Vega Investment Solutions partnerships and signals

Strategic signal

Partnerships

Eleven partnerships are on record, tiered core and minor.

  • Natixis Investment ManagerscoreStrategic or Co-development PartnerParent of VEGA IS within the Natixis IM multi-affiliate model; provides access to over 15 affiliated asset management companies and 200+ investment strategies across all asset classes
  • Caisses d'EpargnecoreChannel Partner/ Reseller/ DistributorKey distribution partner for VEGA IS investment products; close commercial partnership enabled the creation of VEGActive Protégée Mars 2031 structured product
  • Banques PopulairescoreChannel Partner/ Reseller/ DistributorKey distribution partner for VEGA IS investment products within BPCE network; collaborated on structured product development including VEGActive Protégée Mars 2031
  • BPCE ViecoreStrategic or Co-development PartnerInsurance partner within BPCE group; close collaboration enabled development of innovative structured products like VEGActive Protégée Mars 2031
  • AP-HP (Assistance Publique - Hôpitaux de Paris)minorOthersHealthcare foundation partner for VEGA Global Care ISR fund; 10% of management fees are donated to AP-HP foundation, with 524,308 euros reversed since 2021
  • Natixis Investment Managers InternationalcoreStrategic or Co-development PartnerOfficial management company for VEGA IS funds; VEGA IS serves as delegated financial manager for funds under Natixis IM International
  • DNCA InvestmentsminorOthersAffiliate asset management company of Natixis IM; also recognized at 2026 LSEG Lipper Fund Awards
  • Dorval Asset ManagementminorOthersAffiliate asset management company of Natixis IM; recognized at 2026 LSEG Lipper Fund Awards
  • MirovaminorOthersAffiliate asset management company of Natixis IM specialized in responsible investing; recognized at 2026 LSEG Lipper Fund Awards
  • Ostrum Asset ManagementminorOthersAffiliate asset management company of Natixis IM; recognized at 2026 LSEG Lipper Fund Awards
  • WCM Investment ManagementminorOthersAffiliate asset management company of Natixis IM; recognized at 2026 LSEG Lipper Fund Awards

Scale indicators10 records

Recent moves6 records

Expansion highlights5 records

Vega Investment Solutions competitors and assessment

Company assessment

Direct peers

  • Amundi: France's largest asset manager with €2T+ AUM, offering mutual funds, ETF, and institutional management. Direct competitor to VEGA in French retail mutual funds, employee savings (Épargne Salariale), and institutional SMA businesses, with overlapping distribution via French retail banks.
  • OFI Asset Management: French asset manager owned by mutual insurers and Macif with €80B+ AUM, distributing through partner networks. Comparable scale and distribution-via-affiliates model to VEGA, with overlapping institutional and retail client bases.
  • DNCA Investments: French active asset manager and Natixis IM affiliate focused on European equities and multi-asset strategies with €30B+ AUM. Closely comparable to VEGA on open-architecture conviction-driven fund selection and co-honored at 2026 Lipper Awards.
  • Ostrum Asset Management: Sister affiliate under Natixis IM specializing in fixed income and overlay management, with €400B+ AUM. Competes with VEGA Obligations Euro ISR and Euro Rendement ISR in the institutional and retail euro bond space and was co-recognized at Lipper Awards 2026.
  • Lazard Asset Management: French-rooted global asset manager with $200B+ AUM in active equities, fixed income, and alternatives. Comparable active management franchise serving European institutional and retail clients, similar AUM scale band to VEGA.
  • Groupama Asset Management: Asset management arm of French insurer Groupama with €100B+ AUM, distributed through Groupama's mutual insurance network. Highly comparable structure to VEGA's BPCE distribution model, with similar mix of institutional, retail, and employee savings.
  • CPR Asset Management: French active asset manager owned by Amundi, focused on thematic, credit, and multi-asset strategies for institutional and retail clients. Direct competitor in French multi-asset ISR products and structured solutions comparable to VEGA's range.
  • Edmond de Rothschild Asset Management: Swiss-French private banking and asset management group with €80B+ AUM focused on active equities, fixed income, and multi-asset strategies for HNW and institutional clients. Comparable active management philosophy and European private bank distribution.

Broad incumbents

  • Natixis Investment Managers: Parent multi-affiliate platform housing VEGA, Ostrum, DNCA, Mirova, Dorval, and WCM. Operates the same multi-affiliate model and open-architecture distribution that VEGA leverages; provides direct benchmark for platform economics and affiliate strategy.

Regional players

  • Rothschild & Co Asset Management: French-rooted global asset manager with €90B+ AUM providing active management and advisory services to institutional and private clients across Europe. Comparable active multi-asset and fixed income capabilities but with stronger international distribution than VEGA.

Market position

Strengths5 records

Weaknesses5 records

Competitive moat4 records

Key risks6 records

Key highlights7 records

Customer concentration

Vega Investment Solutions social profiles

Digital presence

Vega Investment Solutions compliance and trust

Trust signal

Compliance5 records

Vega Investment Solutions financial estimates

Financial estimate

Revenue estimate

Valuation estimate

Vega Investment Solutions leadership team

Management profile

Number of profiles

Profiles10 records

Vega Investment Solutions funding detail

Funding detail

Funding overview

Funding rounds

Investors

Funding detail is available on the Subscription and Enterprise plan.Contact sales →

Vega Investment Solutions M&A and investment

M&A and investment

M&A

Investments

M&A and investment is available on the Subscription and Enterprise plan.Contact sales →

Frequently asked questions about Vega Investment Solutions

What does Vega Investment Solutions do?

VEGA Investment Solutions is a Paris-based asset management company managing 82.7 billion euros across collective investment funds, discretionary delegated portfolio management, employee savings and retirement plans, structured products, premium advisory services, and private assets. Operating within the Natixis IM multi-affiliate model, the firm provides open-architecture access to over 200 investment strategies across all asset classes and delivers responsible investing solutions through ISR-labeled funds.

Is Vega Investment Solutions a public or private company?

Vega Investment Solutions is a private company. It is classified as corporate owned and is currently operating.

When was Vega Investment Solutions founded?

Vega Investment Solutions was founded in 1990. It employs 51 to 100 people.

Where is Vega Investment Solutions based?

Vega Investment Solutions is headquartered in Paris, France, in the Europe region.

How does Vega Investment Solutions make money?

Two revenue lines are on record. Asset Management Fees are the primary driver. The others are AUM-Based Revenue.

Who are Vega Investment Solutions's main competitors?

Direct peers on record are Amundi, OFI Asset Management, DNCA Investments, Ostrum Asset Management, Lazard Asset Management, Groupama Asset Management, CPR Asset Management and Edmond de Rothschild Asset Management. Natixis Investment Managers is listed as a broad incumbent. Rothschild & Co Asset Management is listed as a regional player.

Does Vega Investment Solutions have an API?

No public API is recorded for Vega Investment Solutions.

What industry is Vega Investment Solutions in?

Vega Investment Solutions's product category is Asset Management. Its primary akta.pro industry code is FSAAACAG, Institutional Consulting RIAs (OCIO/Endowments/Foundations/Pensions), with a secondary code of FSAHAKAC, Managed Account Platforms (Separately Managed Accounts / Customized Portfolios). Its NAICS code is 523940 and its SIC code is 6282.

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Markets Daily10,697 NVIDIA Corporation $NVDA Shares Sold by Vega Investment SolutionsVega Investment Solutions cut its NVIDIA stake by 14.5% in Q2, selling 10,697 shares and leaving with 62,851 shares worth $12.576 million. The stock's consensus rating is Buy with a $321.89 target, and NVIDIA reported Q2 EPS of $2.22, beating estimates.MarketBeat10,697 NVIDIA Corporation $NVDA Shares Sold by Vega Investment SolutionsVega Investment Solutions cut its NVIDIA stake by 14.5% in Q2, selling 10,697 shares and leaving with 62,851 shares worth $12.576 million. The stock's 1.8% weight in Vega's portfolio is its 11th largest holding. Analysts rate NVIDIA a Buy with a consensus target of $321.89.American Banking and Market NewsVega Investment Solutions Purchases New Shares in Apple Inc. $AAPLVega Investment Solutions bought 36,134 Apple shares in Q2, valued at about $10.46 million, making it the fund's 17th-largest position. Other institutions like Deutsche Bank and Amundi also increased stakes, while analysts maintain a Moderate Buy rating with an average target of $340.14.Defense WorldVega Investment Solutions Acquires New Position in Amazon.com, Inc. $AMZNVega Investment Solutions acquired a new stake in Amazon.com, purchasing 35,372 shares worth about $8.4 million in Q2. The position represents 1.2% of Vega's portfolio, and insiders sold 71,589 shares in the last 90 days. Analysts have a consensus price target of $321.19.Defense WorldVega Investment Solutions Reduces Stock Holdings in JPMorgan Chase & Co. $JPMVega Investment Solutions cut its JPMorgan Chase stake by 51.7% in Q2, selling 7,057 shares and leaving with 6,597 shares worth $2.159 million. Other hedge funds like McDonough Capital and Stillwater Private Wealth increased positions, while analysts rate the stock a Moderate Buy with an average price target of $359.96.Defense WorldVega Investment Solutions Sells 1,134 Shares of Meta Platforms, Inc. $METAVega Investment Solutions cut its Meta Platforms stake by 13.9% in Q2, selling 1,134 shares and holding 7,028 shares worth $3.96 million. Meta reported Q2 EPS of $6.18, missing the $7.19 consensus, with revenue of $60.80 billion, up 28% year-over-year.Ticker ReportVega Investment Solutions Takes Position in Marvell Technology, Inc. $MRVLVega Investment Solutions bought 8,343 shares of Marvell Technology in the second quarter, valued at about $2.485 million, per its latest SEC 13F filing. Other investors including Laurel Wealth Advisors, Hilton Head Capital Partners, Jessup Wealth Management, Cherry Tree Wealth Management and C M Bidwell & Associates also added or increased stakes. Institutional investors hold 83.51% of the stock.Ticker ReportVega Investment Solutions Acquires New Holdings in Elevance Health, Inc. $ELVVega Investment Solutions bought 1,531 shares of Elevance Health, valued at about $592,000, in the second quarter, per its SEC filing. Other institutional investors including Sei Investments, Glenview Trust, DZ BANK AG, MIRAE ASSET and Quantinno Capital also increased stakes, while 89.24% of shares are institutionally owned. Elevance reported $7.45 EPS and $49.83 billion quarterly revenue, and announced a $1.72 dividend paid September 25th.Markets DailyVega Investment Solutions Takes $44.13 Million Position in Texas Instruments Incorporated $TXNVega Investment Solutions bought 148,050 shares of Texas Instruments in the second quarter, worth about $44.1 million, making the stock its third-largest holding at 6.2% of the portfolio. The report also notes recent small new positions by Kilter Group, Strategic Wealth Investment Group, Addison Advisors and Portus Wealth Advisors, and analyst ratings averaging a "Moderate Buy" with a $312.12 price target.Ticker Report27,387 Shares in Jabil, Inc. $JBL Purchased by Vega Investment SolutionsVega Investment Solutions acquired 27,387 Jabil shares in Q2, valued at about $10.26 million. Insider Matthew Crowley sold 94 shares on July 6th. Analysts rate the stock a Buy with a consensus target of $453.67.