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Natixis Investment Managers

Natixis Investment Managers serves financial professionals with more insightful ways to construct portfolios. Our multi-affiliate approach connects you to the independent thinking and focused expertise of more than 20 active managers. Ranked among the world’s largest asset managers with USD $1.4 trillion assets under management, we deliver a diverse range of solutions across asset classes, styles, and vehicles. We have more than 4,000 employees in 25 offices across the Americas, Asia Pacific, Europe and the Middle East. We consult and partner with our clients, and continually evaluate markets and assumptions to ensure their strategy delivers on long-term goals. We are dedicated to advancing sustainable finance and developing innovative ESG products, and are lauded the house award for Excellence in ESG in the 2021 Fund Selector Asia Singapore House Awards.

Cerulli Quantitative Update: Global Markets 2020 ranked Natixis Investment Managers as the 17th largest asset manager in the world based on assets under management as of December 31, 2019.

Assets under management (“AUM”) as of March 31, 2021, excluding H2O. AUM, as reported, may include notional assets, assets serviced, gross assets, assets of minority-owned affiliated entities and other types of non-regulatory AUM managed or serviced by firms affiliated with Natixis Investment Managers.

Global presence for Natixis Investment Managers, as of March 31, 2021.

The House Awards are decided by a judging panel made up of FSA's editorial team and are based on pitch submissions from the asset management community. Any reference to a ranking, a rating or an award provides no guarantee for future performance results and is not constant over time.


We offer a range of funds and strategies centered on the belief that ESG factors can play a meaningful role in uncovering opportunities, identifying potential risks, and generating competitive returns for investors.

As part of Natixis Investment Managers’ ESG policy, Affiliates are encouraged to sign the Principles for Responsible Investment (PRI) and to be active in sustainable and impact investment. For 2020, fifteen Affiliates reported alongside the PRI with most scoring A or A+ for the main PRI module, Strategy & Governance.  

On Mirova, an asset management firm that features on Endowus’ platform, it is one of our over 20 Affiliates that is fully dedicated to sustainable investment. 100% of Mirova’s assets under management are sustainably invested and all of Mirova’s portfolio have a trajectory at or below 2 degrees Celsius.

The investment team believes that equity markets systematically underestimate growth opportunities supported by the long-term trends shaping our economy such as demographics, technology, environment and governance and risks related to poor ESG practices. The team seeks to generate financial outperformance with greater sustainability impact.

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