

Commodities
BNP Paribas’ commodity fund range aims to offer beta and alpha investment opportunities in the Commodities asset class. We particularly aim to exploit the specificities of the commodities market to reduce or capture the carry costs associated with commodity futures rolling, thanks to optimal investments on the forward curves.
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Equities
Our long-standing expertise in equity investment solutions has enabled us to develop a broad range of strategies, from long-only stock-picking, or single and multi factor investments to long-short, ESG or income orientated strategies, we aim to make the most of the asset class and cover all types of risk and diversification profiles.
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Fixed income
Fixed Income Funds offer solutions for multiple investment topics such as hedging and yield enhancement or cost/income ratio management. Quantitative Easing and lower yields have brought very large inflows into the Fixed Income asset class – while at the same time ever reducing the attractiveness of its returns for the risk taken by investors
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Multi asset
Multi asset solutions can have a natural advantage on a wide-ranging investment universe by embedding mechanisms of control, calibrating and reducing risks, and as a result, efficiently targeting and delivering a given risk-to-return profile through different market conditions.
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