Featured strategies
A fast-changing world presents both opportunities and risks. Our investment strategies can help you to navigate this complex environment.
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Global absolute return bond
Target returns with access to a wide range of bond opportunities.
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Disruptive technology
Exposure to global technology innovation.
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US high yield bonds
A flexible US high yield solution that seeks to generate higher total returns than the market through a concentrated, nimble portfolio.
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We are progressively merging and streamlining our legal entities to create a unified structure, bringing together all our asset management activities under a single brand. For now, you can find all BNPP AM and AXA IM related fund information by clicking on the respective links shown.
BNPP AM funds
Explore funds from BNP Paribas Asset Management.
AXA IM funds
Explore funds from AXA Investment Manager.

Dynamic Allocation. Absolute Flexibility.
Uncertainty is expected to remain heightened. Flexible fixed income strategies may offer a counterbalance.
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BNP Paribas Asset Management in numbers
We are a top 3 European asset manager in long-term savings2 and alternative assets3, with over 20 years of integrating sustainability into our investment processes.
of assets under management1
in long-term savings assets under management2
in alternative assets under management3
with active presence1
[1] As at 31.03.2026. Assets under management including assets under advisory
[2] #1 in European long-term savings. Source: ranking based on assets under management (AuM) as of 31 December 2024 for internal and external insurers and external pension funds (global AuM for European asset managers; European AuM for non-European asset managers).
[3] #1 European alternatives platform. Source: BCG, based on assets under management as of 31 December 2024.
[4] As at 31.03.2026. Number of countries including Joint Ventures.