Multi-Family Office

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ABN AMRO Investment Solutions

ABN AMRO Investment Solutions was founded in 1998. It operates as the dedicated multi-management platform inside the ABN AMRO banking group and serves affluent...

ABN AMRO Investment Solutions logo

ABN AMRO Investment Solutions

ABN AMRO Investment Solutions was founded in 1998. It operates as the dedicated multi-management platform inside the ABN AMRO banking group and serves affluent European families. The firm’s heritage traces directly to the Dutch parent bank. The firm allocates across equities, fixed income, and hedge funds. It also runs private equity exposure through fund-of-funds structures. All strategies carry ESG integration. Geographic reach covers Europe, North America, Asia, Africa, and South America. No individual portfolio holdings or co-investors appear in public materials. The firm reports three European offices and 91 percent of assets in Article 8 or 9 funds. ABN AMRO Bank N.V. remains the parent and primary capital source. Banque Neuflize OBC holds direct ownership. Governance stays inside the ABN AMRO group structure with no external succession vehicle disclosed.

General information

Firm type

Multi Family Office

Year founded

1998

AUM

€21.7 billion (per firm website, 2025)

Location

Region

Europe

Country

France

City

Paris

Corporate office

Paris, France

Sector focus

ESG

Frequently asked questions

Who owns ABN AMRO Investment Solutions?

Banque Neuflize OBC holds direct ownership. ABN AMRO Bank N.V. serves as the ultimate parent and capital source.

What asset classes does the firm allocate to?

Allocations span equities, fixed income, hedge funds, and private equity via fund-of-funds. ESG criteria apply across the book.

Does the firm run single-strategy or multi-manager mandates?

It operates an open-architecture multi-manager platform. External boutiques and managers are selected for conviction strategies.

What is the firm’s geographic footprint?

Clients and investments span Europe, North America, Asia, Africa, and South America.

How central is ESG to the investment process?

ESG integration has been core since founding. 91 percent of assets sit in Article 8 or 9 funds as of December 2025.

Profile maintained by using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.

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