BNP Paribas Asset Management is one of Europe’s leaders in managing this important asset class.
At BNP Paribas Asset Management, bond market strategies lie at the heart of our product offering. We have a long history of providing tailor-made fixed income solutions, making us one of the major European players in Fixed Income.
BNP Paribas Asset Management brings together the solidity and risk management discipline of BNP Paribas, a strong financial group, and the expertise of the investment managers within our network. We strongly emphasise the liquidity and disciplined risk management of positions, using proprietary analysis tools to allocate risk budgets and monitor risk levels. Our competitive edge includes the consistency of our performance and the cohesion of our teams as well as their good ranking among peers.
Whatever our clients’ needs (yield, return, liquidity, capital preservation, diversification), they will find appropriate investment solutions among our investment managers’ capabilities. Our offering includes traditional fixed income management: sovereign, corporate, aggregate bonds. We also offer alternative investment solutions, like Emerging Market Fixed Income, through specialised local partners based in all major Emerging countries. Investors can also invest in SRI Fixed Income funds or structured products.
- Global short duration and absolute return
- Alternative and structured fixed income
- Global fixed income
- US fixed income
- Emerging markets fixed income
- Global credit
- Sharia-compliant portfolio management
- Global green bonds