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ANIMA Holding S.p.A. ( (IT:ANIM) ) has issued an announcement.
ANIMA Holding reported April 2026 net inflows of €160 million into managed assets excluding Class I insurance mandates, taking total assets under management to €205.5 billion and €206.9 billion including administered assets. The month was driven by strong institutional inflows, notably a new Castello SGR fund, while retail investors stayed cautious and B2B2C flows remained negative, with overall assets supported by a market rebound despite continuing outflows from traditional life insurance mandates.
Retail and institutional segments showed year-on-year growth in assets under management, up 7.4% and 2.1% respectively, whereas B2B2C assets declined 3.5% and Class I insurance mandates fell 3.4%, reflecting persistent pressure on insurance-linked products. Administered assets linked to Kairos Partners grew sharply by 31.7%, helping lift total managed and administered assets by 2.0% over the year, signaling a gradual mix shift toward institutional and advisory-driven business lines in the group’s overall asset base.
The most recent analyst rating on (IT:ANIM) stock is a Hold with a EUR6.80 price target. To see the full list of analyst forecasts on ANIMA Holding S.p.A. stock, see the IT:ANIM Stock Forecast page.
More about ANIMA Holding S.p.A.
ANIMA Holding S.p.A. is an Italian asset management group active in mutual funds, pension products and institutional mandates, serving retail clients through partner banks and institutional investors via specialized vehicles. The group also operates in B2B2C channels, manages Class I insurance portfolios and oversees administered assets via Kairos Partners’ private banking network.
Average Trading Volume: 407,355
Technical Sentiment Signal: Buy
Current Market Cap: €2.27B
Find detailed analytics on ANIM stock on TipRanks’ Stock Analysis page.
