Asset classes

Alternatives

A global leader in alternatives investing, we aim to generate long-term​ ​value by taking a 360° view of the markets. Through innovative product launches and ​consistent​​ performance, we have demonstrated ​rapid, sustainable​ growth​ for our global clients​.

Our ​approach 

​​​​​We have ​more than​ three decades​’ proven leadership and experience with​ ​product ​innovation​, ​delivering ​high performance​ and a comprehensive offering ​to​ both institutional and private wealth clients. 

360° investment expertise

Our investment strategies and alternative products cover the whole spectrum, including real estate, alternative credit, private equity and infrastructure. By combining a comprehensive view of the market with decades of experience, BNP Paribas Asset Management Alts investments aim to deliver robust, competitive returns.

Real ​e​state  

Access the best opportunities in real estate equity ​and​ debt across multiple geographies ​and​ sectors.​

Alternative ​c​redit 

A pioneering platform offering innovative ​liquid ​and​ illiquid strategies​.

Private ​e​quity 

​​Buyout, growth and impact strategies ​across primaries, secondaries and co​-investments.

Infrastructure

A comprehensive offering across debt ​and​​ equity, ​including ​direct, primaries ​and​​ secondaries and co-investments.

Explore our alternative strategies

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. This means, for now, you will see BNPP AM related featured funds and AXA IM related featured funds.

Important information

This material is issued and has been prepared by BNP PARIBAS ASSET MANAGEMENT Asia Limited with its registered office at Suite 1701, 17/F, Lincoln House, Taikoo Place, Quarry Bay, Hong Kong. This material has not been reviewed by the Hong Kong Securities and Futures Commission. It is produced for information purposes only 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.

Investors considering subscribing for the financial instruments should read the most recent prospectus, offering document or other information for further details including the risk factors available from your local BNPP AM correspondents, if any, or from the entities marketing the Financial Instrument(s). Investors should consult their own professional advisors in respect of investment, legal, accounting, domicile and tax advice prior to investing in the funds in order to make an independent determination of the suitability of the consequences of an investment. Investments involve risks. The value of investments and the income they generate may go down as well as up and it is possible that investors will not recover their initial investment. Past performance is not a guide to future performance.

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

Past performance or achievement is not indicative of current or future performance. Performance is calculated net of fees unless otherwise stated.

Any views expressed here are those of the author as of the date of publication, based on available information, and subject to change without notice. This material does not constitute investment advice.

Investments are subject to market fluctuations and the risks inherent in investments in securities. The value of investments and the income they generate may go down as well as up and it is possible that investors will not recover their initial investment. There is no guarantee that the performance objective will be achieved.

Investing in emerging markets, or specialised or restricted sectors is likely to be subject to a higher-than-average volatility due to a high degree of concentration, greater uncertainty because less information is available, there is less liquidity or due to greater sensitivity to changes in market conditions (social, political and economic conditions).

Environmental, social and governance (ESG) investment risk: The lack of common or harmonised definitions and labels integrating ESG and sustainability criteria at EU level may result in different approaches by managers when setting ESG objectives. This also means that it may be difficult to compare strategies integrating ESG and sustainability criteria to the extent that the selection and weightings applied to select investments may be based on metrics that may share the same name but have different underlying meanings. In evaluating a security based on the ESG and sustainability criteria, the Investment Manager may also use data sources provided by external ESG research providers. Given the evolving nature of ESG, these data sources may for the time being be incomplete, inaccurate or unavailable. Applying responsible business conduct standards in the investment process may lead to the exclusion of securities of certain issuers. Consequently, (the Sub-Fund’s) performance may at times be better or worse than the performance of relatable funds that do not apply such standards.

This is not an exhaustive list of risks.  For a complete description and definition of risks, please consult a client relationship manager or the global BNP Paribas Asset Management website: staging.bnpparibas-am.co.uk.

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