What we do

BNP Paribas Asset Management. 
We are a uniquely positioned European asset manager. With more than €1.6 trillion¹ in assets under management, we operate the most diversified investment platform at scale in Europe, across both liquid and alternative markets.

Investment philosophy

Every client deserves an investment partner that can translate their goals into outcomes.

Backed by BNP Paribas Group, we have the scale, breadth and depth to deliver for a diverse range of clients, as we recognise that investors have different investment needs. By leveraging our expertise and strategic partnerships, we aim to provide a broad spectrum of investment options, helping clients navigate a changing financial landscape.

  • Partnership: Our model is built on committed partnership.
    Global reach combined with local know-how brings us closer to clients. Our solutions and our engagement-led approach enables seamless partnership.
  • Conviction: Our clients value our high-conviction approach.
    Deep fundamental research and systems thinking are the foundation upon which our strategies are built. This gives us conviction and critical insights across asset classes and geographies.
  • Performance: Our delivery requires resilience and critical thinking.
    In a world where uncertainty and volatility have become the norm, our robust governance and risk management frameworks underpin how we perform.

Led by your objectives. Delivered by our investment capabilities.

Equities

We invest with a high degree of conviction, offering investors a diverse range of actively managed equity solutions across countries, sectors and themes.

From alpha opportunities in US small caps, to capturing long-term capital growth through transformative themes in global megatrends and sustainable Europe multi-factor ideas – we know how to harness these opportunities. 

Fixed Income

Since 1964, we have navigated the dynamic world of global fixed income through active allocation, effective duration management, and risk-adjusted issuer selection. Today, our broad range of capabilities offer investors exposure to opportunities across sectors, maturities, credit ratings, currencies, and geographies. 

Taking shape through absolute return bond investing, global, emerging market and US high yield bond solutions – investors’ desired objectives are supported, whether it is a steady source of income, diversification, capital preservation or total returns.

 Liquidity Solutions

As a leading European provider in active money market and short duration fixed income management with over EUR 100 billion in assets, we help corporates and institutions to manage their operational and excess cash holdings through low-risk, liquid and diversified investment solutions. 

Our added value emerges across different economic cycles, both in rising and declining rate environments, by actively managing rates, credit duration and liquidity risk.

Exchange-Traded Funds (ETFs)

A pioneer in the field of ETF investing, we were the first asset manager to offer a listed real estate ETF in Europe in 2005. This was followed by more innovative solutions capitalising on the low carbon, circular economy and med tech arena.  

Moving beyond passive investment solutions, we see rising opportunities and benefits of taking an active ETF approach.  

Visit our country website to learn more about our capabilities

Partner with us to shape your strategy

[1] As at 31.03.2026. Assets under management including assets under advisory

Important information

BNP PARIBAS ASSET MANAGEMENT Singapore Limited, “the investment management company”, is a company incorporated in Singapore with its registered office at 20 Collyer Quay, #01-01 Collyer Quay, Singapore 049319, Company Registration No. 199308471D.

This material is issued and has been prepared by the investment management company. This advertisement has not been reviewed by the Monetary Authority of Singapore. It contains opinions and statistical data that are considered lawful and correct on the day of their publication according to the economic and financial environment at the time.

This document is produced for information purposes and does not constitute:

  1. an offer to buy nor a solicitation to sell, nor shall it form the basis of or be relied upon in connection with any contract or commitment whatsoever or;
  2. investment advice.

This document does not have any regard to the specific investment objectives, financial situation or particular needs of any person. Investors should consult their own professional advisors in respect of legal, accounting, domicile and tax advice prior to investing in the fund in order to make an independent determination of the suitability and consequences of an investment therein, if permitted. Investors considering subscribing for the fund should read carefully the most recent prospectus, offering document or other information material and consult the fund’s most recent financial reports before investing, as available from the investment management company or its authorized distributors. Given the economic and market risks, there can be no assurance that the fund will achieve its investment objectives. Investments in the fund are not deposits or other obligations of, or guaranteed, or insured by the investment management company or its authorized distributors or their affiliates and are subject to investment risks, including the possible loss of principal amount invested. Returns may be affected by, amongst other things, investment strategies or objectives of the fund and material market and economic conditions, including interest rates, market terms and general market conditions. Past performance of the fund or the managers, and any economic and market trends or forecast, are not necessarily indicative of the future or likely performance of the fund or the manager. The value of shares in the fund, and the income accruing to the shares (if any), may fall as well as rise and investors may not get back the full amount invested. Funds which are invested in emerging markets, smaller companies and derivative instruments may also involve a higher degree of risk and are usually more sensitive to price movements.

Views and opinions included in this document constitute the judgment of the investment management company and its affiliates at the time specified and may be subject to change without notice.

Some of the solutions or services listed on this Website may not be available for offer to retail investors.