BNP Paribas Asset Management enters the global Top 10 in the RIBI 2020 rankings

BNP Paribas Asset Management is positioned as a frontrunner, ranking 8th in the RIBI world rankings and 4th in France.

RIBI, the Responsible Investment Brand Index, assesses the asset management industry on its commitment as responsible investors and on the ability of asset managers to translate this commitment into the core of their identity.

For 2020, BNP Paribas Asset Management is one of the ‘Avant Gardists’ or forerunners of responsible investment, a category comprising only 19% of RIBI 2020 asset management companies.

As a frontrunner, BNP Paribas Asset Management is above the average of the asset management companies analysed, both for its commitment to sustainable investment and for its positioning, which places sustainable development at the heart of its values and strategy.

You can find the RIBI 2020 report in its entirety by clicking here

To find out more about our commitments, read our Sustainability Report 2019

Important information

Please note that articles may contain technical language. For this reason, they may not be suitable for readers without professional investment experience. Any views expressed here are those of the author as of the date of publication, are based on available information, and are subject to change without notice. Individual portfolio management teams may hold different views and may take different investment decisions for different clients. This document does not constitute investment advice. 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 outlay. Past performance is no guarantee for future returns. 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). Some emerging markets offer less security than the majority of international developed markets. For this reason, services for portfolio transactions, liquidation and conservation on behalf of funds invested in emerging markets may carry greater risk.

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