With decades of experience, we focus on aiming to achieve sustainable long-term results for our clients – leveraging our deep expertise and global platform to help navigate evolving markets with confidence.

Our extensive capability across asset classes provides a flexible range of solutions as diverse as the clients we serve, including Equities, Fixed Income, Multi-Asset and ETF, Quant and Systematic.

With BNP Paribas Asset Management’s strategic plan, AMplify 2030, we aim to scale active management and accelerate ETF growth by 2030.

Equities

Backed by 50 years’ experience, BNP Paribas Asset Management offers investors a broad range of fundamentally-driven, active equity strategies across regions, market cap and themes for long-term growth.

    Stock selection

    Our team conduct in-depth research, using fundamental insights and quantitative modelling informed by multiple sources.

    Integrating ESG

    ESG criteria are fully integrated within investment processes – influencing stock selection and portfolio construction. We also offer a range of specialised sustainability strategies.

    Global presence

    Our Global Equities platform integrates local market intelligence with a worldwide investment perspective. With specialised equity teams stationed in the US, Europe, and Asia, we combine deep regional expertise with a boots-on-the-ground presence in Emerging Markets to identify high-conviction growth opportunities.

Fixed Income

BNP Paribas Asset Management is a global leader in fixed income investment, backed by 60 years’ experience¹ and a worldwide presence, offering a diverse range of actively managed strategies. 

    Breadth of expertise

    We have been managing active fixed income portfolios since 1964. Our investment teams have expertise in all major fixed income asset classes through a range of maturities and leveraging from significant resources in credit research.

    Integrating ESG²

    Sustainability is central to our approach, with Environmental, Social, and Governance (ESG) considerations incorporated throughout our investment processes. We are a well-recognised investor in sustainable fixed income solutions, including Green, Social and Sustainability Bonds.

    A wide and diversified offer

    Our comprehensive Fixed Income platform offers global investors access to the full credit spectrum, ranging from Investment Grade and High Yield to Emerging Market Debt, through active, high-conviction strategies tailored for diverse risk-return profiles.

Multi-Asset

Our Multi-Asset platform delivers diversified investment solutions tailored to specific risk-return objectives. We provide institutional and private investors with active management across dynamic growth, balanced risk, and outcome-oriented strategies designed to navigate volatile market cycles while prioritizing capital preservation and long-term appreciation.

    Flexible solutions

    We manage portfolios across diverse asset classes, sectors, regions and investment tools.

    Dynamic allocation

    We aim to diversify sources of performance and dynamically adjust allocations, supported by proprietary quantitative tools and independent oversight.

    Disciplined and risk aware

    We embed a multi-layered, disciplined approach into every stage of our investment process, from asset class diversification and tactical flexibility to hedging techniques.

ETF, Quant & Systematic

A full systematic platform, BNP Paribas Asset Management offers quantitative & option-based strategies and a broad range of passive exposure (ETF³).

    Experience and innovation

    As pioneers in sustainable ETF investing, we leverage nearly two decades of innovation to deliver market-leading Active ETFs and ESG solutions. From launching Europe’s first Low Carbon ETF in 2008 to the first Active UCITS ETF on euro credit PAB⁴ our track record underscores our commitment to providing institutional investors with sophisticated, high-transparency index and active strategies..

    Sustainability

    Our comprehensive ETF suite provides targeted exposure to ESG, SRI⁵ and high-impact thematic strategies. Whether you are looking for ESG-enhanced core benchmarks, low-carbon solutions, or Circular Economy strategies for sustainable growth, our UCITS-compliant ETFs offer transparent and liquid access to the transition economy.

    Broad expertise

    Our platform brings together a dedicated team of ETF and index portfolio managers with over 30 years of investment experience6, covering most asset classes and geographies.

[1, 6,] BNP Paribas Asset Management as of 30 November 2025

[2] ESG: Environmental, Social and Governance

[3] ETF: Exchange-Traded Fund

[4] PAB: Paris Aligned Benchmarks. Paris Aligned Benchmark standards aim to reduce carbon intensity by 50% relative to the initial investment universe, as well as setting a minimum annual carbon intensity reduction of 7%. 

[5] SRI: Sustainable and Responsible Investing 

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